Publications

Displaying 401 - 500 of 609
  • Poletiek, F. H., & Olfers, K. J. F. (2016). Authentication by the crowd: How lay students identify the style of a 17th century artist. CODART e-Zine, 8. Retrieved from http://ezine.codart.nl/17/issue/57/artikel/19-21-june-madrid/?id=349#!/page/3.
  • Poletiek, F. H., Fitz, H., & Bocanegra, B. R. (2016). What baboons can (not) tell us about natural language grammars. Cognition, 151, 108-112. doi:10.1016/j.cognition.2015.04.016.

    Abstract

    Rey et al. (2012) present data from a study with baboons that they interpret in support of the idea that center-embedded structures in human language have their origin in low level memory mechanisms and associative learning. Critically, the authors claim that the baboons showed a behavioral preference that is consistent with center-embedded sequences over other types of sequences. We argue that the baboons’ response patterns suggest that two mechanisms are involved: first, they can be trained to associate a particular response with a particular stimulus, and, second, when faced with two conditioned stimuli in a row, they respond to the most recent one first, copying behavior they had been rewarded for during training. Although Rey et al. (2012) ‘experiment shows that the baboons’ behavior is driven by low level mechanisms, it is not clear how the animal behavior reported, bears on the phenomenon of Center Embedded structures in human syntax. Hence, (1) natural language syntax may indeed have been shaped by low level mechanisms, and (2) the baboons’ behavior is driven by low level stimulus response learning, as Rey et al. propose. But is the second evidence for the first? We will discuss in what ways this study can and cannot give evidential value for explaining the origin of Center Embedded recursion in human grammar. More generally, their study provokes an interesting reflection on the use of animal studies in order to understand features of the human linguistic system.
  • Poort, E. D., Warren, J. E., & Rodd, J. M. (2016). Recent experience with cognates and interlingual homographs in one language affects subsequent processing in another language. Bilingualism: Language and Cognition, 19(1), 206-212. doi:10.1017/S1366728915000395.

    Abstract

    This experiment shows that recent experience in one language influences subsequent processing of the same word-forms in a different language. Dutch–English bilinguals read Dutch sentences containing Dutch–English cognates and interlingual homographs, which were presented again 16 minutes later in isolation in an English lexical decision task. Priming produced faster responses for the cognates but slower responses for the interlingual homographs. These results show that language switching can influence bilingual speakers at the level of individual words, and require models of bilingual word recognition (e.g., BIA+) to allow access to word meanings to be modulated by recent experience.
  • St Pourcain, B., Whitehouse, A. J. O., Ang, W. Q., Warrington, N. M., Glessner, J. T., Wang, K., Timpson, N. J., Evans, D. M., Kemp, J. P., Ring, S. M., McArdle, W. L., Golding, J., Hakonarson, H., Pennell, C. E., & Smith, G. (2013). Common variation contributes to the genetic architecture of social communication traits. Molecular Autism, 4: 34. doi:10.1186/2040-2392-4-34.

    Abstract

    Background: Social communication difficulties represent an autistic trait that is highly heritable and persistent during the course of development. However, little is known about the underlying genetic architecture of this phenotype. Methods: We performed a genome-wide association study on parent-reported social communication problems using items of the children’s communication checklist (age 10 to 11 years) studying single and/or joint marker effects. Analyses were conducted in a large UK population-based birth cohort (Avon Longitudinal Study of Parents and their Children, ALSPAC, N = 5,584) and followed-up within a sample of children with comparable measures from Western Australia (RAINE, N = 1364). Results: Two of our seven independent top signals (P- discovery <1.0E-05) were replicated (0.009 < P- replication ≤0.02) within RAINE and suggested evidence for association at 6p22.1 (rs9257616, meta-P = 2.5E-07) and 14q22.1 (rs2352908, meta-P = 1.1E-06). The signal at 6p22.1 was identified within the olfactory receptor gene cluster within the broader major histocompatibility complex (MHC) region. The strongest candidate locus within this genomic area was TRIM27. This gene encodes an ubiquitin E3 ligase, which is an interaction partner of methyl-CpG-binding domain (MBD) proteins, such as MBD3 and MBD4, and rare protein-coding mutations within MBD3 and MBD4 have been linked to autism. The signal at 14q22.1 was found within a gene-poor region. Single-variant findings were complemented by estimations of the narrow-sense heritability in ALSPAC suggesting that approximately a fifth of the phenotypic variance in social communication traits is accounted for by joint additive effects of genotyped single nucleotide polymorphisms throughout the genome (h2(SE) = 0.18(0.066), P = 0.0027). Conclusion: Overall, our study provides both joint and single-SNP-based evidence for the contribution of common polymorphisms to variation in social communication phenotypes.
  • Pouw, W., Van Gog, T., Zwaan, R. A., & Paas, F. (2016). Augmenting instructional animations with a body analogy to help children learn about physical systems. Frontiers in Psychology, 7: 860. doi:10.3389/fpsyg.2016.00860.

    Abstract

    We investigated whether augmenting instructional animations with a body analogy (BA) would improve 10- to 13-year-old children’s learning about class-1 levers. Children with a lower level of general math skill who learned with an instructional animation that provided a BA of the physical system, showed higher accuracy on a lever problem-solving reaction time task than children studying the instructional animation without this BA. Additionally, learning with a BA led to a higher speed–accuracy trade-off during the transfer task for children with a lower math skill, which provided additional evidence that especially this group is likely to be affected by learning with a BA. However, overall accuracy and solving speed on the transfer task was not affected by learning with or without this BA. These results suggest that providing children with a BA during animation study provides a stepping-stone for understanding mechanical principles of a physical system, which may prove useful for instructional designers. Yet, because the BA does not seem effective for all children, nor for all tasks, the degree of effectiveness of body analogies should be studied further. Future research, we conclude, should be more sensitive to the necessary degree of analogous mapping between the body and physical systems, and whether this mapping is effective for reasoning about more complex instantiations of such physical systems.
  • Pouw, W., Eielts, C., Van Gog, T., Zwaan, R. A., & Paas, F. (2016). Does (non‐)meaningful sensori‐motor engagement promote learning with animated physical systems? Mind, Brain and Education, 10(2), 91-104. doi:10.1111/mbe.12105.

    Abstract

    Previous research indicates that sensori‐motor experience with physical systems can have a positive effect on learning. However, it is not clear whether this effect is caused by mere bodily engagement or the intrinsically meaningful information that such interaction affords in performing the learning task. We investigated (N = 74), through the use of a Wii Balance Board, whether different forms of physical engagement that was either meaningfully, non‐meaningfully, or minimally related to the learning content would be beneficial (or detrimental) to learning about the workings of seesaws from instructional animations. The results were inconclusive, indicating that motoric competency on lever problem solving did not significantly differ between conditions, nor were response speed and transfer performance affected. These findings suggest that adult's implicit and explicit knowledge about physical systems is stable and not easily affected by (contradictory) sensori‐motor experiences. Implications for embodied learning are discussed.
  • Pouw, W., & Hostetter, A. B. (2016). Gesture as predictive action. Reti, Saperi, Linguaggi: Italian Journal of Cognitive Sciences, 3, 57-80. doi:10.12832/83918.

    Abstract

    Two broad approaches have dominated the literature on the production of speech-accompanying gestures. On the one hand, there are approaches that aim to explain the origin of gestures by specifying the mental processes that give rise to them. On the other, there are approaches that aim to explain the cognitive function that gestures have for the gesturer or the listener. In the present paper we aim to reconcile both approaches in one single perspective that is informed by a recent sea change in cognitive science, namely, Predictive Processing Perspectives (PPP; Clark 2013b; 2015). We start with the idea put forth by the Gesture as Simulated Action (GSA) framework (Hostetter, Alibali 2008). Under this view, the mental processes that give rise to gesture are re-enactments of sensori-motor experiences (i.e., simulated actions). We show that such anticipatory sensori-motor states and the constraints put forth by the GSA framework can be understood as top-down kinesthetic predictions that function in a broader predictive machinery as proposed by PPP. By establishing this alignment, we aim to show how gestures come to fulfill a genuine cognitive function above and beyond the mental processes that give rise to gesture.
  • Pouw, W., Myrto-Foteini, M., Van Gog, T., & Paas, F. (2016). Gesturing during mental problem solving reduces eye movements, especially for individuals with lower visual working memory capacity. Cognitive Processing, 17, 269-277. doi:10.1007/s10339-016-0757-6.

    Abstract

    Non-communicative hand gestures have been found to benefit problem-solving performance. These gestures seem to compensate for limited internal cognitive capacities, such as visual working memory capacity. Yet, it is not clear how gestures might perform this cognitive function. One hypothesis is that gesturing is a means to spatially index mental simulations, thereby reducing the need for visually projecting the mental simulation onto the visual presentation of the task. If that hypothesis is correct, less eye movements should be made when participants gesture during problem solving than when they do not gesture. We therefore used mobile eye tracking to investigate the effect of co-thought gesturing and visual working memory capacity on eye movements during mental solving of the Tower of Hanoi problem. Results revealed that gesturing indeed reduced the number of eye movements (lower saccade counts), especially for participants with a relatively lower visual working memory capacity. Subsequent problem-solving performance was not affected by having (not) gestured during the mental solving phase. The current findings suggest that our understanding of gestures in problem solving could be improved by taking into account eye movements during gesturing.
  • Praamstra, P., Plat, E. M., Meyer, A. S., & Horstink, M. W. I. M. (1999). Motor cortex activation in Parkinson's disease: Dissociation of electrocortical and peripheral measures of response generation. Movement Disorders, 14, 790-799. doi:10.1002/1531-8257(199909)14:5<790:AID-MDS1011>3.0.CO;2-A.

    Abstract

    This study investigated characteristics of motor cortex activation and response generation in Parkinson's disease with measures of electrocortical activity (lateralized readiness potential [LRP]), electromyographic activity (EMG), and isometric force in a noise-compatibility task. When presented with stimuli consisting of incompatible target and distracter elements asking for responses of opposite hands, patients were less able than control subjects to suppress activation of the motor cortex controlling the wrong response hand. This was manifested in the pattern of reaction times and in an incorrect lateralization of the LRP. Onset latency and rise time of the LRP did not differ between patients and control subjects, but EMG and response force developed more slowly in patients. Moreover, in patients but not in control subjects, the rate of development of EMG and response force decreased as reaction time increased. We hypothesize that this dissociation between electrocortical activity and peripheral measures in Parkinson's disease is the result of changes in motor cortex function that alter the relation between signal-related and movement-related neural activity in the motor cortex. In the LRP, this altered balance may obscure an abnormal development of movement-related neural activity.
  • Ramenzoni, V. C., & Liszkowski, U. (2016). The social reach: 8-month-olds reach for unobtainable objects in the presence of another person. Psychological Science, 27(9), 1278-1285. doi:10.1177/0956797616659938.

    Abstract

    Linguistic communication builds on prelinguistic communicative gestures, but the ontogenetic origins and complexities of these prelinguistic gestures are not well known. The current study tested whether 8-month-olds, who do not yet point communicatively, use instrumental actions for communicative purposes. In two experiments, infants reached for objects when another person was present and when no one else was present; the distance to the objects was varied. When alone, the infants reached for objects within their action boundaries and refrained from reaching for objects out of their action boundaries; thus, they knew about their individual action efficiency. However, when a parent (Experiment 1) or a less familiar person (Experiment 2) sat next to them, the infants selectively increased their reaching for out-of-reach objects. The findings reveal that before they communicate explicitly through pointing gestures, infants use instrumental actions with the apparent expectation that a partner will adopt and complete their goals.
  • Ravignani, A., Sonnweber, R.-S., Stobbe, N., & Fitch, W. T. (2013). Action at a distance: Dependency sensitivity in a New World primate. Biology Letters, 9(6): 0130852. doi:10.1098/rsbl.2013.0852.

    Abstract

    Sensitivity to dependencies (correspondences between distant items) in sensory stimuli plays a crucial role in human music and language. Here, we show that squirrel monkeys (Saimiri sciureus) can detect abstract, non-adjacent dependencies in auditory stimuli. Monkeys discriminated between tone sequences containing a dependency and those lacking it, and generalized to previously unheard pitch classes and novel dependency distances. This constitutes the first pattern learning study where artificial stimuli were designed with the species' communication system in mind. These results suggest that the ability to recognize dependencies represents a capability that had already evolved in humans’ last common ancestor with squirrel monkeys, and perhaps before.
  • Ravignani, A., Delgado, T., & Kirby, S. (2016). Musical evolution in the lab exhibits rhythmic universals. Nature Human Behaviour, 1: 0007. doi:10.1038/s41562-016-0007.

    Abstract

    Music exhibits some cross-cultural similarities, despite its variety across the world. Evidence from a broad range of human cultures suggests the existence of musical universals1, here defined as strong regularities emerging across cultures above chance. In particular, humans demonstrate a general proclivity for rhythm2, although little is known about why music is particularly rhythmic and why the same structural regularities are present in rhythms around the world. We empirically investigate the mechanisms underlying musical universals for rhythm, showing how music can evolve culturally from randomness. Human participants were asked to imitate sets of randomly generated drumming sequences and their imitation attempts became the training set for the next participants in independent transmission chains. By perceiving and imitating drumming sequences from each other, participants turned initially random sequences into rhythmically structured patterns. Drumming patterns developed into rhythms that are more structured, easier to learn, distinctive for each experimental cultural tradition and characterized by all six statistical universals found among world music1; the patterns appear to be adapted to human learning, memory and cognition. We conclude that musical rhythm partially arises from the influence of human cognitive and biological biases on the process of cultural evolution.

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  • Ravignani, A., Olivera, M. V., Gingras, B., Hofer, R., Hernandez, R. C., Sonnweber, R. S., & Fitch, T. W. (2013). Primate drum kit: A system for studying acoustic pattern production by non-human primates using acceleration and strain sensors. Sensors, 13(8), 9790-9820. doi:10.3390/s130809790.

    Abstract

    The possibility of achieving experimentally controlled, non-vocal acoustic production in non-human primates is a key step to enable the testing of a number of hypotheses on primate behavior and cognition. However, no device or solution is currently available, with the use of sensors in non-human animals being almost exclusively devoted to applications in food industry and animal surveillance. Specifically, no device exists which simultaneously allows: (i) spontaneous production of sound or music by non-human animals via object manipulation, (ii) systematical recording of data sensed from these movements, (iii) the possibility to alter the acoustic feedback properties of the object using remote control. We present two prototypes we developed for application with chimpanzees (Pan troglodytes) which, while fulfilling the aforementioned requirements, allow to arbitrarily associate sounds to physical object movements. The prototypes differ in sensing technology, costs, intended use and construction requirements. One prototype uses four piezoelectric elements embedded between layers of Plexiglas and foam. Strain data is sent to a computer running Python through an Arduino board. A second prototype consists in a modified Wii Remote contained in a gum toy. Acceleration data is sent via Bluetooth to a computer running Max/MSP. We successfully pilot tested the first device with a group of chimpanzees. We foresee using these devices for a range of cognitive experiments.
  • Ravignani, A., & Cook, P. F. (2016). The evolutionary biology of dance without frills. Current Biology, 26(19), R878-R879. doi:10.1016/j.cub.2016.07.076.

    Abstract

    Recently psychologists have taken up the question of whether dance is reliant on unique human adaptations, or whether it is rooted in neural and cognitive mechanisms shared with other species 1, 2. In its full cultural complexity, human dance clearly has no direct analog in animal behavior. Most definitions of dance include the consistent production of movement sequences timed to an external rhythm. While not sufficient for dance, modes of auditory-motor timing, such as synchronization and entrainment, are experimentally tractable constructs that may be analyzed and compared between species. In an effort to assess the evolutionary precursors to entrainment and social features of human dance, Laland and colleagues [2] have suggested that dance may be an incidental byproduct of adaptations supporting vocal or motor imitation — referred to here as the ‘imitation and sequencing’ hypothesis. In support of this hypothesis, Laland and colleagues rely on four convergent lines of evidence drawn from behavioral and neurobiological research on dance behavior in humans and rhythmic behavior in other animals. Here, we propose a less cognitive, more parsimonious account for the evolution of dance. Our ‘timing and interaction’ hypothesis suggests that dance is scaffolded off of broadly conserved timing mechanisms allowing both cooperative and antagonistic social coordination.
  • Ravignani, A., Fitch, W. T., Hanke, F. D., Heinrich, T., Hurgitsch, B., Kotz, S. A., Scharff, C., Stoeger, A. S., & de Boer, B. (2016). What pinnipeds have to say about human speech, music, and the evolution of rhythm. Frontiers in Neuroscience, 10: 274. doi:10.3389/fnins.2016.00274.

    Abstract

    Research on the evolution of human speech and music benefits from hypotheses and data generated in a number of disciplines. The purpose of this article is to illustrate the high relevance of pinniped research for the study of speech, musical rhythm, and their origins, bridging and complementing current research on primates and birds. We briefly discuss speech, vocal learning, and rhythm from an evolutionary and comparative perspective. We review the current state of the art on pinniped communication and behavior relevant to the evolution of human speech and music, showing interesting parallels to hypotheses on rhythmic behavior in early hominids. We suggest future research directions in terms of species to test and empirical data needed.
  • Reesink, G. (2013). Expressing the GIVE event in Papuan languages: A preliminary survey. Linguistic Typology, 17(2), 217-266. doi:10.1515/lity-2013-0010.

    Abstract

    The linguistic expression of the GIVE event is investigated in a sample of 72 Papuan languages, 33 belonging to the Trans New Guinea family, 39 of various non-TNG lineages. Irrespective of the verbal template (prefix, suffix, or no indexation of undergoer), in the majority of languages the recipient is marked as the direct object of a monotransitive verb, which sometimes involves stem suppletion for the recipient. While a few languages allow verbal affixation for all three arguments, a number of languages challenge the universal claim that the `give' verb always has three arguments.
  • Regier, T., Khetarpal, N., & Majid, A. (2013). Inferring semantic maps. Linguistic Typology, 17, 89-105. doi:10.1515/lity-2013-0003.

    Abstract

    Semantic maps are a means of representing universal structure underlying crosslanguage semantic variation. However, no algorithm has existed for inferring a graph-based semantic map from data. Here, we note that this open problem is formally identical to the known problem of inferring a social network from disease outbreaks. From this identity it follows that semantic map inference is computationally intractable, but that an efficient approximation algorithm for it exists. We demonstrate that this algorithm produces sensible semantic maps from two existing bodies of data. We conclude that universal semantic graph structure can be automatically approximated from cross-language semantic data.
  • Reinisch, E., Weber, A., & Mitterer, H. (2013). Listeners retune phoneme categories across languages. Journal of Experimental Psychology: Human Perception and Performance, 39, 75-86. doi:10.1037/a0027979.

    Abstract

    Native listeners adapt to noncanonically produced speech by retuning phoneme boundaries by means of lexical knowledge. We asked whether a second language lexicon can also guide category retuning and whether perceptual learning transfers from a second language (L2) to the native language (L1). During a Dutch lexical-decision task, German and Dutch listeners were exposed to unusual pronunciation variants in which word-final /f/ or /s/ was replaced by an ambiguous sound. At test, listeners categorized Dutch minimal word pairs ending in sounds along an /f/–/s/ continuum. Dutch L1 and German L2 listeners showed boundary shifts of a similar magnitude. Moreover, following exposure to Dutch-accented English, Dutch listeners also showed comparable effects of category retuning when they heard the same speaker speak her native language (Dutch) during the test. The former result suggests that lexical representations in a second language are specific enough to support lexically guided retuning, and the latter implies that production patterns in a second language are deemed a stable speaker characteristic likely to transfer to the native language; thus retuning of phoneme categories applies across languages.
  • Reinisch, E., & Sjerps, M. J. (2013). The uptake of spectral and temporal cues in vowel perception is rapidly influenced by context. Journal of Phonetics, 41, 101-116. doi:10.1016/j.wocn.2013.01.002.

    Abstract

    Speech perception is dependent on auditory information within phonemes such as spectral or temporal cues. The perception of those cues, however, is affected by auditory information in surrounding context (e.g., a fast context sentence can make a target vowel sound subjectively longer). In a two-by-two design the current experiments investigated when these different factors influence vowel perception. Dutch listeners categorized minimal word pairs such as /tɑk/–/taːk/ (“branch”–“task”) embedded in a context sentence. Critically, the Dutch /ɑ/–/aː/ contrast is cued by spectral and temporal information. We varied the second formant (F2) frequencies and durations of the target vowels. Independently, we also varied the F2 and duration of all segments in the context sentence. The timecourse of cue uptake on the targets was measured in a printed-word eye-tracking paradigm. Results show that the uptake of spectral cues slightly precedes the uptake of temporal cues. Furthermore, acoustic manipulations of the context sentences influenced the uptake of cues in the target vowel immediately. That is, listeners did not need additional time to integrate spectral or temporal cues of a target sound with auditory information in the context. These findings argue for an early locus of contextual influences in speech perception.
  • Reinisch, E., Jesse, A., & Nygaard, L. C. (2013). Tone of voice guides word learning in informative referential contexts. Quarterly Journal of Experimental Psychology, 66, 1227-1240. doi:10.1080/17470218.2012.736525.

    Abstract

    Listeners infer which object in a visual scene a speaker refers to from the systematic variation of the speaker's tone of voice (ToV). We examined whether ToV also guides word learning. During exposure, participants heard novel adjectives (e.g., “daxen”) spoken with a ToV representing hot, cold, strong, weak, big, or small while viewing picture pairs representing the meaning of the adjective and its antonym (e.g., elephant-ant for big-small). Eye fixations were recorded to monitor referent detection and learning. During test, participants heard the adjectives spoken with a neutral ToV, while selecting referents from familiar and unfamiliar picture pairs. Participants were able to learn the adjectives' meanings, and, even in the absence of informative ToV, generalise them to new referents. A second experiment addressed whether ToV provides sufficient information to infer the adjectival meaning or needs to operate within a referential context providing information about the relevant semantic dimension. Participants who saw printed versions of the novel words during exposure performed at chance during test. ToV, in conjunction with the referential context, thus serves as a cue to word meaning. ToV establishes relations between labels and referents for listeners to exploit in word learning.
  • Richter, N., Tiddeman, B., & Haun, D. (2016). Social Preference in Preschoolers: Effects of Morphological Self-Similarity and Familiarity. PLoS One, 11(1): e0145443. doi:10.1371/journal.pone.0145443.

    Abstract

    Adults prefer to interact with others that are similar to themselves. Even slight facial self-resemblance can elicit trust towards strangers. Here we investigate if preschoolers at the age of 5 years already use facial self-resemblance when they make social judgments about others. We found that, in the absence of any additional knowledge about prospective peers, children preferred those who look subtly like themselves over complete strangers. Thus, subtle morphological similarities trigger social preferences well before adulthood.
  • Riedel, M., Wittenburg, P., Reetz, J., van de Sanden, M., Rybicki, J., von Vieth, B. S., Fiameni, G., Mariani, G., Michelini, A., Cacciari, C., Elbers, W., Broeder, D., Verkerk, R., Erastova, E., Lautenschlaeger, M., Budich, R. G., Thielmann, H., Coveney, P., Zasada, S., Haidar, A. and 9 moreRiedel, M., Wittenburg, P., Reetz, J., van de Sanden, M., Rybicki, J., von Vieth, B. S., Fiameni, G., Mariani, G., Michelini, A., Cacciari, C., Elbers, W., Broeder, D., Verkerk, R., Erastova, E., Lautenschlaeger, M., Budich, R. G., Thielmann, H., Coveney, P., Zasada, S., Haidar, A., Buechner, O., Manzano, C., Memon, S., Memon, S., Helin, H., Suhonen, J., Lecarpentier, D., Koski, K., & Lippert, T. (2013). A data infrastructure reference model with applications: Towards realization of a ScienceTube vision with a data replication service. Journal of Internet Services and Applications, 4, 1-17. doi:10.1186/1869-0238-4-1.

    Abstract

    The wide variety of scientific user communities work with data since many years and thus have already a wide variety of data infrastructures in production today. The aim of this paper is thus not to create one new general data architecture that would fail to be adopted by each and any individual user community. Instead this contribution aims to design a reference model with abstract entities that is able to federate existing concrete infrastructures under one umbrella. A reference model is an abstract framework for understanding significant entities and relationships between them and thus helps to understand existing data infrastructures when comparing them in terms of functionality, services, and boundary conditions. A derived architecture from such a reference model then can be used to create a federated architecture that builds on the existing infrastructures that could align to a major common vision. This common vision is named as ’ScienceTube’ as part of this contribution that determines the high-level goal that the reference model aims to support. This paper will describe how a well-focused use case around data replication and its related activities in the EUDAT project aim to provide a first step towards this vision. Concrete stakeholder requirements arising from scientific end users such as those of the European Strategy Forum on Research Infrastructure (ESFRI) projects underpin this contribution with clear evidence that the EUDAT activities are bottom-up thus providing real solutions towards the so often only described ’high-level big data challenges’. The followed federated approach taking advantage of community and data centers (with large computational resources) further describes how data replication services enable data-intensive computing of terabytes or even petabytes of data emerging from ESFRI projects.
  • Rietveld, C. A., Medland, S. E., Derringer, J., Yang, J., Esko, T., Martin, N. W., Westra, H.-J., Shakhbazov, K., Abdellaoui, A., Agrawal, A., Albrecht, E., Alizadeh, B. Z., Amin, N., Barnard, J., Baumeister, S. E., Benke, K. S., Bielak, L. F., Boatman, J. A., Boyle, P. A., Davies, G. and 184 moreRietveld, C. A., Medland, S. E., Derringer, J., Yang, J., Esko, T., Martin, N. W., Westra, H.-J., Shakhbazov, K., Abdellaoui, A., Agrawal, A., Albrecht, E., Alizadeh, B. Z., Amin, N., Barnard, J., Baumeister, S. E., Benke, K. S., Bielak, L. F., Boatman, J. A., Boyle, P. A., Davies, G., de Leeuw, C., Eklund, N., Evans, D. S., Ferhmann, R., Fischer, K., Gieger, C., Gjessing, H. K., Hägg, S., Harris, J. R., Hayward, C., Holzapfel, C., Ibrahim-Verbaas, C. A., Ingelsson, E., Jacobsson, B., Joshi, P. K., Jugessur, A., Kaakinen, M., Kanoni, S., Karjalainen, J., Kolcic, I., Kristiansson, K., Kutalik, Z., Lahti, J., Lee, S. H., Lin, P., Lind, P. A., Liu, Y., Lohman, K., Loitfelder, M., McMahon, G., Vidal, P. M., Meirelles, O., Milani, L., Myhre, R., Nuotio, M.-L., Oldmeadow, C. J., Petrovic, K. E., Peyrot, W. J., Polasek, O., Quaye, L., Reinmaa, E., Rice, J. P., Rizzi, T. S., Schmidt, H., Schmidt, R., Smith, A. V., Smith, J. A., Tanaka, T., Terracciano, A., van der Loos, M. J. H. M., Vitart, V., Völzke, H., Wellmann, J., Yu, L., Zhao, W., Allik, J., Attia, J. R., Bandinelli, S., Bastardot, F., Beauchamp, J., Bennett, D. A., Berger, K., Bierut, L. J., Boomsma, D. I., Bültmann, U., Campbell, H., Chabris, C. F., Cherkas, L., Chung, M. K., Cucca, F., de Andrade, M., De Jager, P. L., De Neve, J.-E., Deary, I. J., Dedoussis, G. V., Deloukas, P., Dimitriou, M., Eiríksdóttir, G., Elderson, M. F., Eriksson, J. G., Evans, D. M., Faul, J. D., Ferrucci, L., Garcia, M. E., Grönberg, H., Guðnason, V., Hall, P., Harris, J. M., Harris, T. B., Hastie, N. D., Heath, A. C., Hernandez, D. G., Hoffmann, W., Hofman, A., Holle, R., Holliday, E. G., Hottenga, J.-J., Iacono, W. G., Illig, T., Järvelin, M.-R., Kähönen, M., Kaprio, J., Kirkpatrick, R. M., Kowgier, M., Latvala, A., Launer, L. J., Lawlor, D. A., Lehtimäki, T., Li, J., Lichtenstein, P., Lichtner, P., Liewald, D. C., Madden, P. A., Magnusson, P. K. E., Mäkinen, T. E., Masala, M., McGue, M., Metspalu, A., Mielck, A., Miller, M. B., Montgomery, G. W., Mukherjee, S., Nyholt, D. R., Oostra, B. A., Palmer, L. J., Palotie, A., Penninx, B. W. J. H., Perola, M., Peyser, P. A., Preisig, M., Räikkönen, K., Raitakari, O. T., Realo, A., Ring, S. M., Ripatti, S., Rivadeneira, F., Rudan, I., Rustichini, A., Salomaa, V., Sarin, A.-P., Schlessinger, D., Scott, R. J., Snieder, H., St Pourcain, B., Starr, J. M., Sul, J. H., Surakka, I., Svento, R., Teumer, A., Tiemeier, H., van Rooij, F. J. A., Van Wagoner, D. R., Vartiainen, E., Viikari, J., Vollenweider, P., Vonk, J. M., Waeber, G., Weir, D. R., Wichmann, H.-E., Widen, E., Willemsen, G., Wilson, J. F., Wright, A. F., Conley, D., Davey-Smith, G., Franke, L., Groenen, P. J. F., Hofman, A., Johannesson, M., Kardia, S. L. R., Krueger, R. F., Laibson, D., Martin, N. G., Meyer, M. N., Posthuma, D., Thurik, A. R., Timpson, N. J., Uitterlinden, A. G., van Duijn, C. M., Visscher, P. M., Benjamin, D. J., Cesarini, D., Koellinger, P. D., & Study LifeLines Cohort (2013). GWAS of 126,559 individuals identifies genetic variants associated with educational attainment. Science, 340(6139), 1467-1471. doi:10.1126/science.1235488.

    Abstract

    A genome-wide association study (GWAS) of educational attainment was conducted in a discovery sample of 101,069 individuals and a replication sample of 25,490. Three independent single-nucleotide polymorphisms (SNPs) are genome-wide significant (rs9320913, rs11584700, rs4851266), and all three replicate. Estimated effects sizes are small (coefficient of determination R(2) ≈ 0.02%), approximately 1 month of schooling per allele. A linear polygenic score from all measured SNPs accounts for ≈2% of the variance in both educational attainment and cognitive function. Genes in the region of the loci have previously been associated with health, cognitive, and central nervous system phenotypes, and bioinformatics analyses suggest the involvement of the anterior caudate nucleus. These findings provide promising candidate SNPs for follow-up work, and our effect size estimates can anchor power analyses in social-science genetics.

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    Rietveld.SM.revision.2.pdf
  • Roberts, S. G., & Verhoef, T. (2016). Double-blind reviewing at EvoLang 11 reveals gender bias. Journal of Language Evolution, 1(2), 163-167. doi:10.1093/jole/lzw009.

    Abstract

    The impact of introducing double-blind reviewing in the most recent Evolution of Language conference is assessed. The ranking of papers is compared between EvoLang 11 (double-blind review) and EvoLang 9 and 10 (single-blind review). Main effects were found for first author gender by conference. The results mirror some findings in the literature on the effects of double-blind review, suggesting that it helps reduce a bias against female authors.

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    SI.pdf
  • Roberts, S. G. (2013). [Review of the book The Language of Gaming by A. Ensslin]. Discourse & Society, 24(5), 651-653. doi:10.1177/0957926513487819a.
  • Roberts, S. G., & Winters, J. (2013). Linguistic diversity and traffic accidents: Lessons from statistical studies of cultural traits. PLoS One, 8(8): e70902. doi:doi:10.1371/journal.pone.0070902.

    Abstract

    The recent proliferation of digital databases of cultural and linguistic data, together with new statistical techniques becoming available has lead to a rise in so-called nomothetic studies [1]–[8]. These seek relationships between demographic variables and cultural traits from large, cross-cultural datasets. The insights from these studies are important for understanding how cultural traits evolve. While these studies are fascinating and are good at generating testable hypotheses, they may underestimate the probability of finding spurious correlations between cultural traits. Here we show that this kind of approach can find links between such unlikely cultural traits as traffic accidents, levels of extra-martial sex, political collectivism and linguistic diversity. This suggests that spurious correlations, due to historical descent, geographic diffusion or increased noise-to-signal ratios in large datasets, are much more likely than some studies admit. We suggest some criteria for the evaluation of nomothetic studies and some practical solutions to the problems. Since some of these studies are receiving media attention without a widespread understanding of the complexities of the issue, there is a risk that poorly controlled studies could affect policy. We hope to contribute towards a general skepticism for correlational studies by demonstrating the ease of finding apparently rigorous correlations between cultural traits. Despite this, we see well-controlled nomothetic studies as useful tools for the development of theories.
  • Roberts, L. (2013). Processing of gender and number agreement in late Spanish bilinguals: A commentary on Sagarra and Herschensohn. International Journal of Bilingualism, 17(5), 628-633. doi:10.1177/1367006911435693.

    Abstract

    Sagarra and Herschensohn’s article examines English L2 learners’ knowledge of Spanish gender and number agreement and their sensitivity to gender and number agreement violations (e.g. *El ingeniero presenta el prototipo *famosa/*famosos en la conferencia) during real-time sentence processing. It raises some interesting questions that are central to both acquisition and processing research. In the following paper, I discuss a selection of these topics, for instance, what types of knowledge may or may not be available/accessible during real-time L2 processing at different proficiency levels, what the differences may be between the processing of number versus gender concord, and perhaps most importantly, the problem of how to characterize the relationship between the grammar and the parser, both in general terms and in the context of language acquisition.
  • Roberts, L., Matsuo, A., & Duffield, N. (2013). Processing VP-ellipsis and VP-anaphora with structurally parallel and nonparallel antecedents: An eyetracking study. Language and Cognitive Processes, 28, 29-47. doi:10.1080/01690965.2012.676190.

    Abstract

    In this paper, we report on an eye-tracking study investigating the processing of English VP-ellipsis (John took the rubbish out. Fred did [] too) (VPE) and VP-anaphora (John took the rubbish out. Fred did it too) (VPA) constructions, with syntactically parallel versus nonparallel antecedent clauses (e.g., The rubbish was taken out by John. Fred did [] too/Fred did it too). The results show first that VPE involves greater processing costs than VPA overall. Second, although the structural nonparallelism of the antecedent clause elicited a processing cost for both anaphor types, there was a difference in the timing and the strength of this parallelism effect: it was earlier and more fleeting for VPA, as evidenced by regression path times, whereas the effect occurred later with VPE completions, showing up in second and total fixation times measures, and continuing on into the reading of the adjacent text. Taking the observed differences between the processing of the two anaphor types together with other research findings in the literature, we argue that our data support the idea that in the case of VPE, the VP from the antecedent clause necessitates more computation at the elision site before it is linked to its antecedent than is the case for VPA.

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  • Robinson, E. B., St Pourcain, B., Anttila, V., Kosmicki, J. A., Bulik-Sullivan, B., Grove, J., Maller, J., Samocha, K. E., Sanders, S. J., Ripke, S., Martin, J., Hollegaard, M. V., Werge, T., Hougaard, D. M., i Psych- S. S. I. Broad Autism Group, Neale, B. M., Evans, D. M., Skuse, D., Mortensen, P. B., Borglum, A. D., Ronald, A. and 2 moreRobinson, E. B., St Pourcain, B., Anttila, V., Kosmicki, J. A., Bulik-Sullivan, B., Grove, J., Maller, J., Samocha, K. E., Sanders, S. J., Ripke, S., Martin, J., Hollegaard, M. V., Werge, T., Hougaard, D. M., i Psych- S. S. I. Broad Autism Group, Neale, B. M., Evans, D. M., Skuse, D., Mortensen, P. B., Borglum, A. D., Ronald, A., Smith, G. D., & Daly, M. J. (2016). Genetic risk for autism spectrum disorders and neuropsychiatric variation in the general population. Nature Genetics, 48, 552-555. doi:10.1038/ng.3529.

    Abstract

    Almost all genetic risk factors for autism spectrum disorders (ASDs) can be found in the general population, but the effects of this risk are unclear in people not ascertained for neuropsychiatric symptoms. Using several large ASD consortium and population-based resources (total n > 38,000), we find genome-wide genetic links between ASDs and typical variation in social behavior and adaptive functioning. This finding is evidenced through both LD score correlation and de novo variant analysis, indicating that multiple types of genetic risk for ASDs influence a continuum of behavioral and developmental traits, the severe tail of which can result in diagnosis with an ASD or other neuropsychiatric disorder. A continuum model should inform the design and interpretation of studies of neuropsychiatric disease biology.

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    ng.3529-S1.pdf
  • Rodenas-Cuadrado, P., Pietrafusa, N., Francavilla, T., La Neve, A., Striano, P., & Vernes, S. C. (2016). Characterisation of CASPR2 deficiency disorder - a syndrome involving autism, epilepsy and language impairment. BMC Medical Genetics, 17: 8. doi:10.1186/s12881-016-0272-8.

    Abstract

    Background Heterozygous mutations in CNTNAP2 have been identified in patients with a range of complex phenotypes including intellectual disability, autism and schizophrenia. However heterozygous CNTNAP2 mutations are also found in the normal population. Conversely, homozygous mutations are rare in patient populations and have not been found in any unaffected individuals. Case presentation We describe a consanguineous family carrying a deletion in CNTNAP2 predicted to abolish function of its protein product, CASPR2. Homozygous family members display epilepsy, facial dysmorphisms, severe intellectual disability and impaired language. We compared these patients with previously reported individuals carrying homozygous mutations in CNTNAP2 and identified a highly recognisable phenotype. Conclusions We propose that CASPR2 loss produces a syndrome involving early-onset refractory epilepsy, intellectual disability, language impairment and autistic features that can be recognized as CASPR2 deficiency disorder. Further screening for homozygous patients meeting these criteria, together with detailed phenotypic and molecular investigations will be crucial for understanding the contribution of CNTNAP2 to normal and disrupted development.
  • Roelofs, A., & Piai, V. (2013). Associative facilitation in the Stroop task: Comment on Mahon et al. Cortex, 49, 1767-1769. doi:10.1016/j.cortex.2013.03.001.

    Abstract

    First paragraph: A fundamental issue in psycholinguistics concerns how speakers retrieve intended words from long-term memory. According to a selection by competition account (e.g., Levelt
    et al., 1999), conceptually driven word retrieval involves the activation of a set of candidate words and a competitive selection
    of the intended word from this set.
  • Roelofs, A., Piai, V., & Schriefers, H. (2013). Context effects and selective attention in picture naming and word reading: Competition versus response exclusion. Language and Cognitive Processes, 28, 655-671. doi:10.1080/01690965.2011.615663.

    Abstract

    For several decades, context effects in picture naming and word reading have been extensively investigated. However, researchers have found no agreement on the explanation of the effects. Whereas it has long been assumed that several types of effect reflect competition in word selection, recently it has been argued that these effects reflect the exclusion of articulatory responses from an output buffer. Here, we first critically evaluate the findings on context effects in picture naming that have been taken as evidence against the competition account, and we argue that the findings are, in fact, compatible with the competition account. Moreover, some of the findings appear to challenge rather than support the response exclusion account. Next, we compare the response exclusion and competition accounts with respect to their ability to explain data on word reading. It appears that response exclusion does not account well for context effects on word reading times, whereas computer simulations reveal that a competition model like WEAVER++ accounts for the findings.

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  • Roelofs, A., Piai, V., Garrido Rodriguez, G., & Chwilla, D. J. (2016). Electrophysiology of Cross-Language Interference and Facilitation in Picture Naming. Cortex, 76, 1-16. doi:10.1016/j.cortex.2015.12.003.

    Abstract

    Disagreement exists about how bilingual speakers select words, in particular, whether words in another language compete, or competition is restricted to a target language, or no competition occurs. Evidence that competition occurs but is restricted to a target language comes from response time (RT) effects obtained when speakers name pictures in one language while trying to ignore distractor words in another language. Compared to unrelated distractor words, RT is longer when the picture name and distractor are semantically related, but RT is shorter when the distractor is the translation of the name of the picture in the other language. These effects suggest that distractor words from another language do not compete themselves but activate their counterparts in the target language, thereby yielding the semantic interference and translation facilitation effects. Here, we report an event-related brain potential (ERP) study testing the prediction that priming underlies both of these effects. The RTs showed semantic interference and translation facilitation effects. Moreover, the picture-word stimuli yielded an N400 response, whose amplitude was smaller on semantic and translation trials than on unrelated trials, providing evidence that interference and facilitation priming underlie the RT effects. We present the results of computer simulations showing the utility of a within-language competition account of our findings.
  • Roelofs, A., Dijkstra, T., & Gerakaki, S. (2013). Modeling of word translation: Activation flow from concepts to lexical items. Bilingualism: Language and Cognition, 16, 343-353. doi:10.1017/S1366728912000612.

    Abstract

    Whereas most theoretical and computational models assume a continuous flow of activation from concepts to lexical items in spoken word production, one prominent model assumes that the mapping of concepts onto words happens in a discrete fashion (Bloem & La Heij, 2003). Semantic facilitation of context pictures on word translation has been taken to support the discrete-flow model. Here, we report results of computer simulations with the continuous-flow WEAVER++ model (Roelofs, 1992, 2006) demonstrating that the empirical observation taken to be in favor of discrete models is, in fact, only consistent with those models and equally compatible with more continuous models of word production by monolingual and bilingual speakers. Continuous models are specifically and independently supported by other empirical evidence on the effect of context pictures on native word production.
  • Roelofs, A., Piai, V., & Schriefers, H. (2013). Selection by competition in word production: Rejoinder to Janssen (2012). Language and Cognitive Processes, 28, 679-683. doi:10.1080/01690965.2013.770890.

    Abstract

    Roelofs, Piai, and Schriefers argue that several findings on the effect of distractor words and pictures in producing words support a selection-by-competition account and challenge a non-competitive response-exclusion account. Janssen argues that the findings do not challenge response exclusion, and he conjectures that both competitive and non-competitive mechanisms underlie word selection. Here, we maintain that the findings do challenge the response-exclusion account and support the assumption of a single competitive mechanism underlying word selection.

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  • Rojas-Berscia, L. M. (2016). Lóxoro, traces of a contemporary Peruvian genderlect. Borealis: An International Journal of Hispanic Linguistics, 5, 157-170.

    Abstract

    Not long after the premiere of Loxoro in 2011, a short-film by Claudia Llosa which presents the problems the transgender community faces in the capital of Peru, a new language variety became visible for the first time to the Lima society. Lóxoro [‘lok.so.ɾo] or Húngaro [‘uŋ.ga.ɾo], as its speakers call it, is a language spoken by transsexuals and the gay community of Peru. The first clues about its existence were given by a comedian, Fernando Armas, in the mid 90’s, however it is said to have appeared not before the 60’s. Following some previous work on gay languages by Baker (2002) and languages and society (cf. Halliday 1978), the main aim of the present article is to provide a primary sketch of this language in its phonological, morphological, lexical and sociological aspects, based on a small corpus extracted from the film of Llosa and natural dialogues from Peruvian TV-journals, in order to classify this variety within modern sociolinguistic models (cf. Muysken 2010) and argue for the “anti-language” (cf. Halliday 1978) nature of it
  • Rommers, J., Meyer, A. S., & Huettig, F. (2013). Object shape and orientation do not routinely influence performance during language processing. Psychological Science, 24, 2218-2225. doi:10.1177/0956797613490746.

    Abstract

    The role of visual representations during language processing remains unclear: They could be activated as a necessary part of the comprehension process, or they could be less crucial and influence performance in a task-dependent manner. In the present experiments, participants read sentences about an object. The sentences implied that the object had a specific shape or orientation. They then either named a picture of that object (Experiments 1 and 3) or decided whether the object had been mentioned in the sentence (Experiment 2). Orientation information did not reliably influence performance in any of the experiments. Shape representations influenced performance most strongly when participants were asked to compare a sentence with a picture or when they were explicitly asked to use mental imagery while reading the sentences. Thus, in contrast to previous claims, implied visual information often does not contribute substantially to the comprehension process during normal reading.

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    DS_10.1177_0956797613490746.pdf
  • Rommers, J., Meyer, A. S., Praamstra, P., & Huettig, F. (2013). The contents of predictions in sentence comprehension: Activation of the shape of objects before they are referred to. Neuropsychologia, 51(3), 437-447. doi:10.1016/j.neuropsychologia.2012.12.002.

    Abstract

    When comprehending concrete words, listeners and readers can activate specific visual information such as the shape of the words’ referents. In two experiments we examined whether such information can be activated in an anticipatory fashion. In Experiment 1, listeners’ eye movements were tracked while they were listening to sentences that were predictive of a specific critical word (e.g., “moon” in “In 1969 Neil Armstrong was the first man to set foot on the moon”). 500 ms before the acoustic onset of the critical word, participants were shown four-object displays featuring three unrelated distractor objects and a critical object, which was either the target object (e.g., moon), an object with a similar shape (e.g., tomato), or an unrelated control object (e.g., rice). In a time window before shape information from the spoken target word could be retrieved, participants already tended to fixate both the target and the shape competitors more often than they fixated the control objects, indicating that they had anticipatorily activated the shape of the upcoming word's referent. This was confirmed in Experiment 2, which was an ERP experiment without picture displays. Participants listened to the same lead-in sentences as in Experiment 1. The sentence-final words corresponded to the predictable target, the shape competitor, or the unrelated control object (yielding, for instance, “In 1969 Neil Armstrong was the first man to set foot on the moon/tomato/rice”). N400 amplitude in response to the final words was significantly attenuated in the shape-related compared to the unrelated condition. Taken together, these results suggest that listeners can activate perceptual attributes of objects before they are referred to in an utterance.
  • Rommers, J., Dijkstra, T., & Bastiaansen, M. C. M. (2013). Context-dependent semantic processing in the human brain: Evidence from idiom comprehension. Journal of Cognitive Neuroscience, 25(5), 762-776. doi:10.1162/jocn_a_00337.

    Abstract

    Language comprehension involves activating word meanings and integrating them with the sentence context. This study examined whether these routines are carried out even when they are theoretically unnecessary, namely in the case of opaque idiomatic expressions, for which the literal word meanings are unrelated to the overall meaning of the expression. Predictable words in sentences were replaced by a semantically related or unrelated word. In literal sentences, this yielded previously established behavioral and electrophysiological signatures of semantic processing: semantic facilitation in lexical decision, a reduced N400 for semantically related relative to unrelated words, and a power increase in the gamma frequency band that was disrupted by semantic violations. However, the same manipulations in idioms yielded none of these effects. Instead, semantic violations elicited a late positivity in idioms. Moreover, gamma band power was lower in correct idioms than in correct literal sentences. It is argued that the brain's semantic expectancy and literal word meaning integration operations can, to some extent, be “switched off” when the context renders them unnecessary. Furthermore, the results lend support to models of idiom comprehension that involve unitary idiom representations.
  • Rossano, F., Carpenter, M., & Tomasello, M. (2013). One-year-old infants follow others’ voice direction. Psychological Science, 23, 1298-1302. doi:10.1177/0956797612450032.

    Abstract

    We investigated 1-year-old infants’ ability to infer an adult’s focus of attention solely on the basis of her voice direction. In Studies 1 and 2, 12- and 16-month-olds watched an adult go behind a barrier and then heard her verbally express excitement about a toy hidden in one of two boxes at either end of the barrier. Even though they could not see the adult, infants of both ages followed her voice direction to the box containing the toy. Study 2 showed that infants could do this even when the adult was positioned closer to the incorrect box while she vocalized toward the correct one (and thus ruled out the possibility that infants were merely approaching the source of the sound). In Study 3, using the same methods as in Study 2, we found that chimpanzees performed the task at chance level. Our results show that infants can determine the focus of another person’s attention through auditory information alone—a useful skill for establishing joint attention.

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  • Rossi, G., & Zinken, J. (2016). Grammar and social agency: The pragmatics of impersonal deontic statements. Language, 92(4), e296-e325. doi:10.1353/lan.2016.0083.

    Abstract

    Sentence and construction types generally have more than one pragmatic function. Impersonal deontic declaratives such as ‘it is necessary to X’ assert the existence of an obligation or necessity without tying it to any particular individual. This family of statements can accomplish a range of functions, including getting another person to act, explaining or justifying the speaker’s own behavior as he or she undertakes to do something, or even justifying the speaker’s behavior while simultaneously getting another person to help. How is an impersonal deontic declarative fit for these different functions? And how do people know which function it has in a given context? We address these questions using video recordings of everyday interactions among speakers of Italian and Polish. Our analysis results in two findings. The first is that the pragmatics of impersonal deontic declaratives is systematically shaped by (i) the relative responsibility of participants for the necessary task and (ii) the speaker’s nonverbal conduct at the time of the statement. These two factors influence whether the task in question will be dealt with by another person or by the speaker, often giving the statement the force of a request or, alternatively, of an account of the speaker’s behavior. The second finding is that, although these factors systematically influence their function, impersonal deontic declaratives maintain the potential to generate more complex interactions that go beyond a simple opposition between requests and accounts, where participation in the necessary task may be shared, negotiated, or avoided. This versatility of impersonal deontic declaratives derives from their grammatical makeup: by being deontic and impersonal, they can both mobilize or legitimize an act by different participants in the speech event, while their declarative form does not constrain how they should be responded to. These features make impersonal deontic declaratives a special tool for the management of social agency.
  • Rowbotham, S. J., Holler, J., Wearden, A., & Lloyd, D. M. (2016). I see how you feel: Recipients obtain additional information from speakers’ gestures about pain. Patient Education and Counseling, 99(8), 1333-1342. doi:10.1016/j.pec.2016.03.007.

    Abstract

    Objective

    Despite the need for effective pain communication, pain is difficult to verbalise. Co-speech gestures frequently add information about pain that is not contained in the accompanying speech. We explored whether recipients can obtain additional information from gestures about the pain that is being described.
    Methods

    Participants (n = 135) viewed clips of pain descriptions under one of four conditions: 1) Speech Only; 2) Speech and Gesture; 3) Speech, Gesture and Face; and 4) Speech, Gesture and Face plus Instruction (short presentation explaining the pain information that gestures can depict). Participants provided free-text descriptions of the pain that had been described. Responses were scored for the amount of information obtained from the original clips.
    Findings

    Participants in the Instruction condition obtained the most information, while those in the Speech Only condition obtained the least (all comparisons p<.001).
    Conclusions

    Gestures produced during pain descriptions provide additional information about pain that recipients are able to pick up without detriment to their uptake of spoken information.
    Practice implications

    Healthcare professionals may benefit from instruction in gestures to enhance uptake of information about patients’ pain experiences.
  • Rubio-Fernández, P., Cummins, C., & Tian, Y. (2016). Are single and extended metaphors processed differently? A test of two Relevance-Theoretic accounts. Journal of Pragmatics, 94, 15-28. doi:10.1016/j.pragma.2016.01.005.

    Abstract

    Carston (2010) proposes that metaphors can be processed via two different routes. In line with the standard Relevance-Theoretic account of loose use, single metaphors are interpreted by a local pragmatic process of meaning adjustment, resulting in the construction of an ad hoc concept. In extended metaphorical passages, by contrast, the reader switches to a second processing mode because the various semantic associates in the passage are mutually reinforcing, which makes the literal meaning highly activated relative to possible meaning adjustments. In the second processing mode the literal meaning of the whole passage is metarepresented and entertained as an ‘imaginary world’ and the intended figurative implications are derived later in processing. The results of three experiments comparing the interpretation of the same target expressions across literal, single-metaphorical and extended-metaphorical contexts, using self-paced reading (Experiment 1), eye-tracking during natural reading (Experiment 2) and cued recall (Experiment 3), offered initial support to Carston's distinction between the processing of single and extended metaphors. We end with a comparison between extended metaphors and allegories, and make a call for further theoretical and experimental work to increase our understanding of the similarities and differences between the interpretation and processing of different figurative uses, single and extended.
  • Rubio-Fernández, P. (2016). How redundant are redundant color adjectives? An efficiency-based analysis of color overspecification. Frontiers in Psychology, 7: 153. doi:10.3389/fpsyg.2016.00153.

    Abstract

    Color adjectives tend to be used redundantly in referential communication. I propose that redundant color adjectives (RCAs) are often intended to exploit a color contrast in the visual context and hence facilitate object identification, despite not being necessary to establish unique reference. Two language-production experiments investigated two types of factors that may affect the use of RCAs: factors related to the efficiency of color in the visual context and factors related to the semantic category of the noun. The results of Experiment 1 confirmed that people produce RCAs when color may facilitate object recognition; e.g., they do so more often in polychrome displays than in monochrome displays, and more often in English (pre-nominal position) than in Spanish (post-nominal position). RCAs are also used when color is a central property of the object category; e.g., people referred to the color of clothes more often than to the color of geometrical figures (Experiment 1), and they overspecified atypical colors more often than variable and stereotypical colors (Experiment 2). These results are relevant for pragmatic models of referential communication based on Gricean pragmatics and informativeness. An alternative analysis is proposed, which focuses on the efficiency and pertinence of color in a given referential situation.
  • Rubio-Fernández, P., & Grassmann, S. (2016). Metaphors as second labels: Difficult for preschool children? Journal of Psycholinguistic Research, 45, 931-944. doi:10.1007/s10936-015-9386-y.

    Abstract

    This study investigates the development of two cognitive abilities that are involved in metaphor comprehension: implicit analogical reasoning and assigning an unconventional label to a familiar entity (as in Romeo’s ‘Juliet is the sun’). We presented 3- and 4-year-old children with literal object-requests in a pretense setting (e.g., ‘Give me the train with the hat’). Both age-groups succeeded in a baseline condition that used building blocks as props (e.g., placed either on the front or the rear of a train engine) and only required spatial analogical reasoning to interpret the referential expression. Both age-groups performed significantly worse in the critical condition, which used familiar objects as props (e.g., small dogs as pretend hats) and required both implicit analogical reasoning and assigning second labels. Only the 4-year olds succeeded in this condition. These results offer a new perspective on young children’s difficulties with metaphor comprehension in the preschool years.
  • Rubio-Fernández, P. (2013). Associative and inferential processes in pragmatic enrichment: The case of emergent properties. Language and Cognitive Processes, 28(6), 723-745. doi:10.1080/01690965.2012.659264.

    Abstract

    Experimental research on word processing has generally focused on properties that are associated to a concept in long-term memory (e.g., basketball—round). The present study addresses a related issue: the accessibility of “emergent properties” or conceptual properties that have to be inferred in a given context (e.g., basketball—floats). This investigation sheds light on a current debate in cognitive pragmatics about the number of pragmatic systems that are there (Carston, 2002a, 2007; Recanati, 2004, 2007). Two experiments using a self-paced reading task suggest that inferential processes are fully integrated in the processing system. Emergent properties are accessed early on in processing, without delaying later discourse integration processes. I conclude that the theoretical distinction between explicit and implicit meaning is not paralleled by that between associative and inferential processes.
  • Rubio-Fernández, P. (2013). Perspective tracking in progress: Do not disturb. Cognition, 129(2), 264-272. doi:10.1016/j.cognition.2013.07.005.

    Abstract

    Two experiments tested the hypothesis that indirect false-belief tests allow participants to track a protagonist’s perspective uninterruptedly, whereas direct false-belief tests disrupt the process of perspective tracking in various ways. For this purpose, adults’ performance was compared on indirect and direct false-belief tests by means of continuous eye-tracking. Experiment 1 confirmed that the false-belief question used in direct tests disrupts perspective tracking relative to what is observed in an indirect test. Experiment 2 confirmed that perspective tracking is a continuous process that can be easily disrupted in adults by a subtle visual manipulation in both indirect and direct tests. These results call for a closer analysis of the demands of the false-belief tasks that have been used in developmental research.
  • Rubio-Fernández, P., & Geurts, B. (2016). Don’t mention the marble! The role of attentional processes in false-belief tasks. Review of Philosophy and Psychology, 7, 835-850. doi:10.1007/s13164-015-0290-z.
  • Rubio-Fernández, P., & Geurts, B. (2013). How to pass the false-belief task before your fourth birthday. Psychological Science, 24(1), 27-33. doi:10.1177/0956797612447819.

    Abstract

    The experimental record of the last three decades shows that children under 4 years old fail all sorts of variations on the standard false-belief task, whereas more recent studies have revealed that infants are able to pass nonverbal versions of the task. We argue that these paradoxical results are an artifact of the type of false-belief tasks that have been used to test infants and children: Nonverbal designs allow infants to keep track of a protagonist’s perspective over a course of events, whereas verbal designs tend to disrupt the perspective-tracking process in various ways, which makes it too hard for younger children to demonstrate their capacity for perspective tracking. We report three experiments that confirm this hypothesis by showing that 3-year-olds can pass a suitably streamlined version of the verbal false-belief task. We conclude that young children can pass the verbal false-belief task provided that they are allowed to keep track of the protagonist’s perspective without too much disruption.
  • Sadakata, M., & McQueen, J. M. (2013). High stimulus variability in nonnative speech learning supports formation of abstract categories: Evidence from Japanese geminates. Journal of the Acoustical Society of America, 134(2), 1324-1335. doi:10.1121/1.4812767.

    Abstract

    This study reports effects of a high-variability training procedure on nonnative learning of a Japanese geminate-singleton fricative contrast. Thirty native speakers of Dutch took part in a 5-day training procedure in which they identified geminate and singleton variants of the Japanese fricative /s/. Participants were trained with either many repetitions of a limited set of words recorded by a single speaker (low-variability training) or with fewer repetitions of a more variable set of words recorded by multiple speakers (high-variability training). Both types of training enhanced identification of speech but not of nonspeech materials, indicating that learning was domain specific. High-variability training led to superior performance in identification but not in discrimination tests, and supported better generalization of learning as shown by transfer from the trained fricatives to the identification of untrained stops and affricates. Variability thus helps nonnative listeners to form abstract categories rather than to enhance early acoustic analysis.
  • Sakkalou, E., Ellis-Davies, K., Fowler, N., Hilbrink, E., & Gattis, M. (2013). Infants show stability of goal-directed imitation. Journal of Experimental Child Psychology, 114, 1-9. doi:10.1016/j.jecp.2012.09.005.

    Abstract

    Previous studies have reported that infants selectively reproduce observed actions and have argued that this selectivity reflects understanding of intentions and goals, or goal-directed imitation. We reasoned that if selective imitation of goal-directed actions reflects understanding of intentions, infants should demonstrate stability across perceptually and causally dissimilar imitation tasks. To this end, we employed a longitudinal within-participants design to compare the performance of 37 infants on two imitation tasks, with one administered at 13 months and one administered at 14 months. Infants who selectively imitated goal-directed actions in an object-cued task at 13 months also selectively imitated goal-directed actions in a vocal-cued task at 14 months. We conclude that goal-directed imitation reflects a general ability to interpret behavior in terms of mental states.
  • Salomo, D., & Liszkowski, U. (2013). Sociocultural settings influence the emergence of prelinguistic deictic gestures. Child development, 84(4), 1296-1307. doi:10.1111/cdev.12026.

    Abstract

    Daily activities of forty-eight 8- to 15-month-olds and their interlocutors were observed to test for the presence and frequency of triadic joint actions and deictic gestures across three different cultures: Yucatec-Mayans (Mexico), Dutch (Netherlands), and Shanghai-Chinese (China). The amount of joint action and deictic gestures to which infants were exposed differed systematically across settings, allowing testing for the role of social–interactional input in the ontogeny of prelinguistic gestures. Infants gestured more and at an earlier age depending on the amount of joint action and gestures infants were exposed to, revealing early prelinguistic sociocultural differences. The study shows that the emergence of basic prelinguistic gestures is socially mediated, suggesting that others' actions structure the ontogeny of human communication from early on.
  • Sampaio, C., & Konopka, A. E. (2013). Memory for non-native language: The role of lexical processing in the retention of surface form. Memory, 21, 537-544. doi:10.1080/09658211.2012.746371.

    Abstract

    Research on memory for native language (L1) has consistently shown that retention of surface form is inferior to that of gist (e.g., Sachs, 1967). This paper investigates whether the same pattern is found in memory for non-native language (L2). We apply a model of bilingual word processing to more complex linguistic structures and predict that memory for L2 sentences ought to contain more surface information than L1 sentences. Native and non-native speakers of English were tested on a set of sentence pairs with different surface forms but the same meaning (e.g., “The bullet hit/struck the bull's eye”). Memory for these sentences was assessed with a cued recall procedure. Responses showed that native and non-native speakers did not differ in the accuracy of gist-based recall but that non-native speakers outperformed native speakers in the retention of surface form. The results suggest that L2 processing involves more intensive encoding of lexical level information than L1 processing.

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  • San Roque, L. (2016). 'Where' questions and their responses in Duna (Papua New Guinea). Open Linguistics, 2(1), 85-104. doi:10.1515/opli-2016-0005.

    Abstract

    Despite their central role in question formation, content interrogatives in spontaneous conversation remain relatively under-explored cross-linguistically. This paper outlines the structure of ‘where’ expressions in Duna, a language spoken in Papua New Guinea, and examines where-questions in a small Duna data set in terms of their frequency, function, and the responses they elicit. Questions that ask ‘where?’ have been identified as a useful tool in studying the language of space and place, and, in the Duna case and elsewhere, show high frequency and functional flexibility. Although where-questions formulate place as an information gap, they are not always answered through direct reference to canonical places. While some question types may be especially “socially costly” (Levinson 2012), asking ‘where’ perhaps provides a relatively innocuous way of bringing a particular event or situation into focus.
  • Sánchez-Fernández, M., & Rojas-Berscia, L. M. (2016). Vitalidad lingüística de la lengua paipai de Santa Catarina, Baja California. LIAMES, 16(1), 157-183. doi:10.20396/liames.v16i1.8646171.

    Abstract

    In the last few decades little to nothing has been said about the sociolinguistic situation of Yumanan languages in Mexico. In order to cope with this lack of studies, we present a first study on linguistic vitality in Paipai, as it is spoken in Santa Catarina, Baja California, Mexico. Since languages such as Mexican Spanish and Ko’ahl coexist with this language in the same ecology, both are part of the study as well. This first approach hoists from two axes: on one hand, providing a theoretical framework that explains the sociolinguistic dynamics in the ecology of the language (Mufwene 2001), and, on the other hand, bringing over a quantitative study based on MSF (Maximum Shared Facility) (Terborg & Garcìa 2011), which explains the state of linguistic vitality of paipai, enriched by qualitative information collected in situ
  • Sassenhagen, J., & Alday, P. M. (2016). A common misapplication of statistical inference: Nuisance control with null-hypothesis significance tests. Brain and Language, 162, 42-45. doi:10.1016/j.bandl.2016.08.001.

    Abstract

    Experimental research on behavior and cognition frequently rests on stimulus or subject selection where not all characteristics can be fully controlled, even when attempting strict matching. For example, when contrasting patients to controls, variables such as intelligence or socioeconomic status are often correlated with patient status. Similarly, when presenting word stimuli, variables such as word frequency are often correlated with primary variables of interest. One procedure very commonly employed to control for such nuisance effects is conducting inferential tests on confounding stimulus or subject characteristics. For example, if word length is not significantly different for two stimulus sets, they are considered as matched for word length. Such a test has high error rates and is conceptually misguided. It reflects a common misunderstanding of statistical tests: interpreting significance not to refer to inference about a particular population parameter, but about 1. the sample in question, 2. the practical relevance of a sample difference (so that a nonsignificant test is taken to indicate evidence for the absence of relevant differences). We show inferential testing for assessing nuisance effects to be inappropriate both pragmatically and philosophically, present a survey showing its high prevalence, and briefly discuss an alternative in the form of regression including nuisance variables.
  • Sauppe, S. (2016). Verbal semantics drives early anticipatory eye movements during the comprehension of verb-initial sentences. Frontiers in Psychology, 7: 95. doi:10.3389/fpsyg.2016.00095.

    Abstract

    Studies on anticipatory processes during sentence comprehension often focus on the prediction of postverbal direct objects. In subject-initial languages (the target of most studies so far), however, the position in the sentence, the syntactic function, and the semantic role of arguments are often conflated. For example, in the sentence “The frog will eat the fly” the syntactic object (“fly”) is at the same time also the last word and the patient argument of the verb. It is therefore not apparent which kind of information listeners orient to for predictive processing during sentence comprehension. A visual world eye tracking study on the verb-initial language Tagalog (Austronesian) tested what kind of information listeners use to anticipate upcoming postverbal linguistic input. The grammatical structure of Tagalog allows to test whether listeners' anticipatory gaze behavior is guided by predictions of the linear order of words, by syntactic functions (e.g., subject/object), or by semantic roles (agent/patient). Participants heard sentences of the type “Eat frog fly” or “Eat fly frog” (both meaning “The frog will eat the fly”) while looking at displays containing an agent referent (“frog”), a patient referent (“fly”) and a distractor. The verb carried morphological marking that allowed the order and syntactic function of agent and patient to be inferred. After having heard the verb, listeners fixated on the agent irrespective of its syntactic function or position in the sentence. While hearing the first-mentioned argument, listeners fixated on the corresponding referent in the display accordingly and then initiated saccades to the last-mentioned referent before it was encountered. The results indicate that listeners used verbal semantics to identify referents and their semantic roles early; information about word order or syntactic functions did not influence anticipatory gaze behavior directly after the verb was heard. In this verb-initial language, event semantics takes early precedence during the comprehension of sentences, while arguments are anticipated temporally more local to when they are encountered. The current experiment thus helps to better understand anticipation during language processing by employing linguistic structures not available in previously studied subject-initial languages.
  • Sauter, D. A., & Eisner, F. (2013). Commonalities outweigh differences in the communication of emotions across human cultures [Letter]. Proceedings of the National Academy of Sciences of the United States of America, 110, E180. doi:10.1073/pnas.1209522110.
  • Schapper, A., & Hammarström, H. (2013). Innovative numerals in Malayo-Polynesian languages outside of Oceania. Oceanic Linguistics, 52, 423-455.
  • Scharenborg, O., & Janse, E. (2013). Comparing lexically guided perceptual learning in younger and older listeners. Attention, Perception & Psychophysics, 75, 525-536. doi:10.3758/s13414-013-0422-4.

    Abstract

    Numerous studies have shown that younger adults engage in lexically guided perceptual learning in speech perception. Here, we investigated whether older listeners are also able to retune their phonetic category boundaries. More specifically, in this research we tried to answer two questions. First, do older adults show perceptual-learning effects of similar size to those of younger adults? Second, do differences in lexical behavior predict the strength of the perceptual-learning effect? An age group comparison revealed that older listeners do engage in lexically guided perceptual learning, but there were two age-related differences: Younger listeners had a stronger learning effect right after exposure than did older listeners, but the effect was more stable for older than for younger listeners. Moreover, a clear link was shown to exist between individuals’ lexical-decision performance during exposure and the magnitude of their perceptual-learning effects. A subsequent analysis on the results of the older participants revealed that, even within the older participant group, with increasing age the perceptual retuning effect became smaller but also more stable, mirroring the age group comparison results. These results could not be explained by differences in hearing loss. The age effect may be accounted for by decreased flexibility in the adjustment of phoneme categories or by age-related changes in the dynamics of spoken-word recognition, with older adults being more affected by competition from similar-sounding lexical competitors, resulting in less lexical guidance for perceptual retuning. In conclusion, our results clearly show that the speech perception system remains flexible over the life span.
  • Schepens, J., Dijkstra, T., Grootjen, F., & Van Heuven, W. J. (2013). Cross-language distributions of high frequency and phonetically similar cognates. PLoS One, 8(5): e63006. doi:10.1371/journal.pone.0063006.

    Abstract

    The coinciding form and meaning similarity of cognates, e.g. ‘flamme’ (French), ‘Flamme’ (German), ‘vlam’ (Dutch), meaning ‘flame’ in English, facilitates learning of additional languages. The cross-language frequency and similarity distributions of cognates vary according to evolutionary change and language contact. We compare frequency and orthographic (O), phonetic (P), and semantic similarity of cognates, automatically identified in semi-complete lexicons of six widely spoken languages. Comparisons of P and O similarity reveal inconsistent mappings in language pairs with deep orthographies. The frequency distributions show that cognate frequency is reduced in less closely related language pairs as compared to more closely related languages (e.g., French-English vs. German-English). These frequency and similarity patterns may support a better understanding of cognate processing in natural and experimental settings. The automatically identified cognates are available in the supplementary materials, including the frequency and similarity measurements.
  • Schepens, J., Van der Silk, F., & Van Hout, R. (2016). L1 and L2 Distance Effects in Learning L3 Dutch. Language Learning, 66, 224-256. doi:10.1111/lang.12150.

    Abstract

    Many people speak more than two languages. How do languages acquired earlier affect the learnability of additional languages? We show that linguistic distances between speakers' first (L1) and second (L2) languages and their third (L3) language play a role. Larger distances from the L1 to the L3 and from the L2 to the L3 correlate with lower degrees of L3 learnability. The evidence comes from L3 Dutch speaking proficiency test scores obtained by candidates who speak a diverse set of L1s and L2s. Lexical and morphological distances between the L1s of the learners and Dutch explained 47.7% of the variation in proficiency scores. Lexical and morphological distances between the L2s of the learners and Dutch explained 32.4% of the variation in proficiency scores in multilingual learners. Cross-linguistic differences require language learners to bridge varying linguistic gaps between their L1 and L2 competences and the target language.
  • Schmid, M. S., Berends, S. M., Bergmann, C., Brouwer, S., Meulman, N., Seton, B., Sprenger, S., & Stowe, L. A. (2016). Designing research on bilingual development: Behavioral and neurolinguistic experiments. Berlin: Springer.
  • Schmidt, J., Herzog, D., Scharenborg, O., & Janse, E. (2016). Do hearing aids improve affect perception? Advances in Experimental Medicine and Biology, 894, 47-55. doi:10.1007/978-3-319-25474-6_6.

    Abstract

    Normal-hearing listeners use acoustic cues in speech to interpret a speaker's emotional state. This study investigates the effect of hearing aids on the perception of the emotion dimensions arousal (aroused/calm) and valence (positive/negative attitude) in older adults with hearing loss. More specifically, we investigate whether wearing a hearing aid improves the correlation between affect ratings and affect-related acoustic parameters. To that end, affect ratings by 23 hearing-aid users were compared for aided and unaided listening. Moreover, these ratings were compared to the ratings by an age-matched group of 22 participants with age-normal hearing.For arousal, hearing-aid users rated utterances as generally more aroused in the aided than in the unaided condition. Intensity differences were the strongest indictor of degree of arousal. Among the hearing-aid users, those with poorer hearing used additional prosodic cues (i.e., tempo and pitch) for their arousal ratings, compared to those with relatively good hearing. For valence, pitch was the only acoustic cue that was associated with valence. Neither listening condition nor hearing loss severity (differences among the hearing-aid users) influenced affect ratings or the use of affect-related acoustic parameters. Compared to the normal-hearing reference group, ratings of hearing-aid users in the aided condition did not generally differ in both emotion dimensions. However, hearing-aid users were more sensitive to intensity differences in their arousal ratings than the normal-hearing participants.We conclude that the use of hearing aids is important for the rehabilitation of affect perception and particularly influences the interpretation of arousal
  • Schmidt, J., Janse, E., & Scharenborg, O. (2016). Perception of emotion in conversational speech by younger and older listeners. Frontiers in Psychology, 7: 781. doi:10.3389/fpsyg.2016.00781.

    Abstract

    This study investigated whether age and/or differences in hearing sensitivity influence the perception of the emotion dimensions arousal (calm vs. aroused) and valence (positive vs. negative attitude) in conversational speech. To that end, this study specifically focused on the relationship between participants' ratings of short affective utterances and the utterances' acoustic parameters (pitch, intensity, and articulation rate) known to be associated with the emotion dimensions arousal and valence. Stimuli consisted of short utterances taken from a corpus of conversational speech. In two rating tasks, younger and older adults either rated arousal or valence using a 5-point scale. Mean intensity was found to be the main cue participants used in the arousal task (i.e., higher mean intensity cueing higher levels of arousal) while mean F-0 was the main cue in the valence task (i.e., higher mean F-0 being interpreted as more negative). Even though there were no overall age group differences in arousal or valence ratings, compared to younger adults, older adults responded less strongly to mean intensity differences cueing arousal and responded more strongly to differences in mean F-0 cueing valence. Individual hearing sensitivity among the older adults did not modify the use of mean intensity as an arousal cue. However, individual hearing sensitivity generally affected valence ratings and modified the use of mean F-0. We conclude that age differences in the interpretation of mean F-0 as a cue for valence are likely due to age-related hearing loss, whereas age differences in rating arousal do not seem to be driven by hearing sensitivity differences between age groups (as measured by pure-tone audiometry).
  • Schmitt, B. M., Meyer, A. S., & Levelt, W. J. M. (1999). Lexical access in the production of pronouns. Cognition, 69(3), 313-335. doi:doi:10.1016/S0010-0277(98)00073-0.

    Abstract

    Speakers can use pronouns when their conceptual referents are accessible from the preceding discourse, as in 'The flower is red. It turns blue'. Theories of language production agree that in order to produce a noun semantic, syntactic, and phonological information must be accessed. However, little is known about lexical access to pronouns. In this paper, we propose a model of pronoun access in German. Since the forms of German pronouns depend on the grammatical gender of the nouns they replace, the model claims that speakers must access the syntactic representation of the replaced noun (its lemma) to select a pronoun. In two experiments using the lexical decision during naming paradigm [Levelt, W.J.M., Schriefers, H., Vorberg, D., Meyer, A.S., Pechmann, T., Havinga, J., 1991a. The time course of lexical access in speech production: a study of picture naming. Psychological Review 98, 122-142], we investigated whether lemma access automatically entails the activation of the corresponding word form or whether a word form is only activated when the noun itself is produced, but not when it is replaced by a pronoun. Experiment 1 showed that during pronoun production the phonological form of the replaced noun is activated. Experiment 2 demonstrated that this phonological activation was not a residual of the use of the noun in the preceding sentence. Thus, when a pronoun is produced, the lemma and the phonological form of the replaced noun become reactivated.
  • Schoot, L., Heyselaar, E., Hagoort, P., & Segaert, K. (2016). Does syntactic alignment effectively influence how speakers are perceived by their conversation partner. PLoS One, 11(4): e015352. doi:10.1371/journal.pone.0153521.

    Abstract

    The way we talk can influence how we are perceived by others. Whereas previous studies have started to explore the influence of social goals on syntactic alignment, in the current study, we additionally investigated whether syntactic alignment effectively influences conversation partners’ perception of the speaker. To this end, we developed a novel paradigm in which we can measure the effect of social goals on the strength of syntactic alignment for one participant (primed participant), while simultaneously obtaining usable social opinions about them from their conversation partner (the evaluator). In Study 1, participants’ desire to be rated favorably by their partner was manipulated by assigning pairs to a Control (i.e., primed participants did not know they were being evaluated) or Evaluation context (i.e., primed participants knew they were being evaluated). Surprisingly, results showed no significant difference in the strength with which primed participants aligned their syntactic choices with their partners’ choices. In a follow-up study, we used a Directed Evaluation context (i.e., primed participants knew they were being evaluated and were explicitly instructed to make a positive impression). However, again, there was no evidence supporting the hypothesis that participants’ desire to impress their partner influences syntactic alignment. With respect to the influence of syntactic alignment on perceived likeability by the evaluator, a negative relationship was reported in Study 1: the more primed participants aligned their syntactic choices with their partner, the more that partner decreased their likeability rating after the experiment. However, this effect was not replicated in the Directed Evaluation context of Study 2. In other words, our results do not support the conclusion that speakers’ desire to be liked affects how much they align their syntactic choices with their partner, nor is there convincing evidence that there is a reliable relationship between syntactic alignment and perceived likeability.

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  • Schoot, L., Hagoort, P., & Segaert, K. (2016). What can we learn from a two-brain approach to verbal interaction? Neuroscience and Biobehavioral Reviews, 68, 454-459. doi:10.1016/j.neubiorev.2016.06.009.

    Abstract

    Verbal interaction is one of the most frequent social interactions humans encounter on a daily basis. In the current paper, we zoom in on what the multi-brain approach has contributed, and can contribute in the future, to our understanding of the neural mechanisms supporting verbal interaction. Indeed, since verbal interaction can only exist between individuals, it seems intuitive to focus analyses on inter-individual neural markers, i.e. between-brain neural coupling. To date, however, there is a severe lack of theoretically-driven, testable hypotheses about what between-brain neural coupling actually reflects. In this paper, we develop a testable hypothesis in which between-pair variation in between-brain neural coupling is of key importance. Based on theoretical frameworks and empirical data, we argue that the level of between-brain neural coupling reflects speaker-listener alignment at different levels of linguistic and extra-linguistic representation. We discuss the possibility that between-brain neural coupling could inform us about the highest level of inter-speaker alignment: mutual understanding
  • De Schryver, J., Neijt, A., Ghesquière, P., & Ernestus, M. (2013). Zij surfde, maar hij durfte niet: De spellingproblematiek van de zwakke verleden tijd in Nederland en Vlaanderen. Dutch Journal of Applied Linguistics, 2(2), 133-151. doi:10.1075/dujal.2.2.01de.

    Abstract

    Hoewel de spelling van Nederlandse verledentijdsvormen van zwakke werkwoorden algemeen als eenvoudig wordt beschouwd (ze zijn immers klankzuiver) maken zelfs universiteitsstudenten opvallend veel fouten bij de keuze tussen de uitgangen -te en -de. Voor een deel zijn die fouten ‘natuurlijk’ in die zin dat ze het gevolg zijn van de werking van frequentie en analogie. Anderzijds stellen we vast dat Nederlanders veel meer fouten maken dan Vlamingen, althans als de stam op een coronale fricatief eindigt (s, z, f, v). Aangezien de Nederlandse proefpersonen de ‘regel’ (het ezelsbruggetje ’t kofschip) beter lijken te beheersen dan de Vlamingen, moet de verklaring voor het verschil gezocht worden in een klankverandering die zich wel in Nederland maar niet of nauwelijks in Vlaanderen voordoet, de verstemlozing van de fricatieven. Het spellingprobleem vraagt om didactische maatregelen en/of politieke: het kan wellicht grotendeels worden opgelost door de spellingregels een weinig aan te passen.
  • Segaert, K., Kempen, G., Petersson, K. M., & Hagoort, P. (2013). Syntactic priming and the lexical boost effect during sentence production and sentence comprehension: An fMRI study. Brain and Language, 124, 174-183. doi:10.1016/j.bandl.2012.12.003.

    Abstract

    Behavioral syntactic priming effects during sentence comprehension are typically observed only if both the syntactic structure and lexical head are repeated. In contrast, during production syntactic priming occurs with structure repetition alone, but the effect is boosted by repetition of the lexical head. We used fMRI to investigate the neuronal correlates of syntactic priming and lexical boost effects during sentence production and comprehension. The critical measure was the magnitude of fMRI adaptation to repetition of sentences in active or passive voice, with or without verb repetition. In conditions with repeated verbs, we observed adaptation to structure repetition in the left IFG and MTG, for active and passive voice. However, in the absence of repeated verbs, adaptation occurred only for passive sentences. None of the fMRI adaptation effects yielded differential effects for production versus comprehension, suggesting that sentence comprehension and production are subserved by the same neuronal infrastructure for syntactic processing.

    Additional information

    Segaert_Supplementary_data_2013.docx
  • Segaert, K., Weber, K., De Lange, F., Petersson, K. M., & Hagoort, P. (2013). The suppression of repetition enhancement: A review of fMRI studies. Neuropsychologia, 51, 59-66. doi:10.1016/j.neuropsychologia.2012.11.006.

    Abstract

    Repetition suppression in fMRI studies is generally thought to underlie behavioural facilitation effects (i.e., priming) and it is often used to identify the neuronal representations associated with a stimulus. However, this pays little heed to the large number of repetition enhancement effects observed under similar conditions. In this review, we identify several cognitive variables biasing repetition effects in the BOLD response towards enhancement instead of suppression. These variables are stimulus recognition, learning, attention, expectation and explicit memory. We also evaluate which models can account for these repetition effects and come to the conclusion that there is no one single model that is able to embrace all repetition enhancement effects. Accumulation, novel network formation as well as predictive coding models can all explain subsets of repetition enhancement effects.
  • Segaert, K., Wheeldon, L., & Hagoort, P. (2016). Unifying structural priming effects on syntactic choices and timing of sentence generation. Journal of Memory and Language, 91, 59-80. doi:10.1016/j.jml.2016.03.011.

    Abstract

    We investigated whether structural priming of production latencies is sensitive to the same factors known to influence persistence of structural choices: structure preference, cumulativity and verb repetition. In two experiments, we found structural persistence only for passives (inverse preference effect) while priming effects on latencies were stronger for the actives (positive preference effect). We found structural persistence for passives to be influenced by immediate primes and long lasting cumulativity (all preceding primes) (Experiment 1), and to be boosted by verb repetition (Experiment 2). In latencies we found effects for actives were sensitive to long lasting cumulativity (Experiment 1). In Experiment 2, in latencies we found priming for actives overall, while for passives the priming effects emerged as the cumulative exposure increased but only when also aided by verb repetition. These findings are consistent with the Two-stage Competition model, an integrated model of structural priming effects for sentence choice and latency
  • Sekine, K., Rose, M. L., Foster, A. M., Attard, M. C., & Lanyon, L. E. (2013). Gesture production patterns in aphasic discourse: In-depth description and preliminary predictions. Aphasiology, 27(9), 1031-1049. doi:10.1080/02687038.2013.803017.

    Abstract

    Background: Gesture frequently accompanies speech in healthy speakers. For many individuals with aphasia, gestures are a target of speech-language pathology intervention, either as an alternative form of communication or as a facilitative device for language restoration. The patterns of gesture production for people with aphasia and the participant variables that predict these patterns remain unclear. Aims: We aimed to examine gesture production during conversational discourse in a large sample of individuals with aphasia. We used a detailed gesture coding system to determine patterns of gesture production associated with specific aphasia types and severities. Methods & Procedures: We analysed conversation samples from AphasiaBank, gathered from 46 people with post-stroke aphasia and 10 healthy matched controls all of whom had gestured at least once during a story re-tell task. Twelve gesture types were coded. Descriptive statistics were used to describe the patterns of gesture production. Possible significant differences in production patterns according to aphasia type and severity were examined with a series of analyses of variance (ANOVA) statistics, and multiple regression analysis was used to examine these potential predictors of gesture production patterns. Outcomes & Results: Individuals with aphasia gestured significantly more frequently than healthy controls. Aphasia type and severity impacted significantly on gesture type in specific identified patterns detailed here, especially on the production of meaning-laden gestures. Conclusions: These patterns suggest the opportunity for gestures as targets of aphasia therapy. Aphasia fluency accounted for a greater degree of data variability than aphasia severity or naming skills. More work is required to delineate predictive factors.
  • Sekine, K., & Rose, M. L. (2013). The relationship of aphasia type and gesture production in people with aphasia. American Journal of Speech-Language Pathology, 22, 662-672. doi:10.1044/1058-0360(2013/12-0030).

    Abstract

    Purpose For many individuals with aphasia, gestures form a vital component of message transfer and are the target of speech-language pathology intervention. What remains unclear are the participant variables that predict successful outcomes from gesture treatments. The authors examined the gesture production of a large number of individuals with aphasia—in a consistent discourse sampling condition and with a detailed gesture coding system—to determine patterns of gesture production associated with specific types of aphasia. Method The authors analyzed story retell samples from AphasiaBank (TalkBank, n.d.), gathered from 98 individuals with aphasia resulting from stroke and 64 typical controls. Twelve gesture types were coded. Descriptive statistics were used to describe the patterns of gesture production. Possible significant differences in production patterns according to aphasia type were examined using a series of chi-square, Fisher exact, and logistic regression statistics. Results A significantly higher proportion of individuals with aphasia gestured as compared to typical controls, and for many individuals with aphasia, this gesture was iconic and was capable of communicative load. Aphasia type impacted significantly on gesture type in specific identified patterns, detailed here. Conclusion These type-specific patterns suggest the opportunity for gestures as targets of aphasia therapy.
  • Selten, M., Meyer, F., Ba, W., Valles, A., Maas, D., Negwer, M., Eijsink, V. D., van Vugt, R. W. M., van Hulten, J. A., van Bakel, N. H. M., Roosen, J., van der Linden, R., Schubert, D., Verheij, M. M. M., Kasri, N. N., & Martens, G. J. M. (2016). Increased GABAB receptor signaling in a rat model for schizophrenia. Scientific Reports, 6: 34240. doi:10.1038/srep34240.

    Abstract

    Schizophrenia is a complex disorder that affects cognitive function and has been linked, both in patients and animal models, to dysfunction of the GABAergic system. However, the pathophysiological consequences of this dysfunction are not well understood. Here, we examined the GABAergic system in an animal model displaying schizophrenia-relevant features, the apomorphine-susceptible (APO-SUS) rat and its phenotypic counterpart, the apomorphine-unsusceptible (APO-UNSUS) rat at postnatal day 20-22. We found changes in the expression of the GABA-synthesizing enzyme GAD67 specifically in the prelimbic-but not the infralimbic region of the medial prefrontal cortex (mPFC), indicative of reduced inhibitory function in this region in APO-SUS rats. While we did not observe changes in basal synaptic transmission onto LII/III pyramidal cells in the mPFC of APO-SUS compared to APO-UNSUS rats, we report reduced paired-pulse ratios at longer inter-stimulus intervals. The GABA(B) receptor antagonist CGP 55845 abolished this reduction, indicating that the decreased paired-pulse ratio was caused by increased GABA(B) signaling. Consistently, we find an increased expression of the GABA(B1) receptor subunit in APO-SUS rats. Our data provide physiological evidence for increased presynaptic GABAB signaling in the mPFC of APO-SUS rats, further supporting an important role for the GABAergic system in the pathophysiology of schizophrenia.
  • Senft, G. (1999). ENTER and EXIT in Kilivila. Studies in Language, 23, 1-23.
  • Senft, G. (1999). [Review of the book Describing morphosyntax: A guide for field linguists by Thomas E. Payne]. Linguistics, 37, 181-187. doi:10.1515/ling.1999.003, 01/01/1999.
  • Senft, G. (1999). [Review of the book Pacific languages - An introduction by John Lynch]. Linguistics, 37, 979-983. doi:10.1515/ling.37.5.961.
  • Senft, G. (1999). A case study from the Trobriand Islands: The presentation of Self in touristic encounters [abstract]. IIAS Newsletter, (19). Retrieved from http://www.iias.nl/iiasn/19/.

    Abstract

    Visiting the Trobriand Islands is advertised as being the highlight of a trip for tourists to Papua New Guinea who want, and can afford, to experience this 'ultimate adventure' with 'expeditionary cruises aboard the luxurious Melanesian Discoverer. The advertisements also promise that the tourists can 'meet the friendly people' and 'observe their unique culture, dances, and art'. During my research in Kaibola and Nuwebila, two neighbouring villages on the northern tip of Kiriwina Island, I studied and analysed the encounters of tourists with Trobriand Islanders, who sing and dance for the Europeans. The analyses of the islanders' tourist performances are based on Erving Goffman's now classic study The Presentation of Self in Everyday Life, which was first published in 1959. In this study Goffmann analyses the structures of social encounters from the perspective of the dramatic performance. The situational context within which the encounter between tourists and Trobriand Islanders takes place frames the tourists as the audience and the Trobriand Islanders as a team of performers. The inherent structure of the parts of the overall performance presented in the two villages can be summarized - within the framework of Goffman's approach - in analogy with the structure of drama. We find parts that constitute the 'exposition', the 'complication', and the 'resolution' of a drama; we even observe an equivalent to the importance of the 'Second Act Curtain' in modern drama theory. Deeper analyses of this encounter show that the motives of the performers and their 'art of impression management' are to control the impression their audience receives in this encounter situation. This analysis reveals that the Trobriand Islanders sell their customers the expected images of what Malinowski (1929) once termed the '...Life of Savages in North-Western Melanesia' in a staged 'illusion'. With the conscious realization of the part they as performers play in this encounter, the Trobriand Islanders are in a position that is superior to that of their audience. Their merchandise or commodity is 'not real', as it is sold 'out of its true cultural context'. It is staged - and thus cannot be taken by any customer whatsoever because it (re)presents just an 'illusion'. The Trobriand Islanders know that neither they nor the core aspects of their culture will suffer any damage within a tourist encounter that is defined by the structure and the kind of their performance. Their pride and self-confidence enable them to bring their superior position into play in their dealings with tourists. With their indigenous humour, they even use this encounter for ridiculing their visitors. It turns out that the encounter is another manifestation of the Trobriand Islanders' self-consciousness, self-confidence, and pride with which they manage to protect core aspects of their cultural identity, while at the same time using and 'selling' parts of their culture as a kind of commodity to tourists.
  • Senft, G. (1999). The presentation of self in touristic encounters: A case study from the Trobriand Islands. Anthropos, 94, 21-33.
  • Senft, G. (1999). Weird Papalagi and a Fake Samoan Chief: A footnote to the noble savage myth. Rongorongo Studies: A forum for Polynesian philology, 9(1&2), 23-32-62-75.
  • Seuren, P. A. M. (1970). A note on descriptive adequacy. Journal of Linguistics, 6(2), 263-266. doi:10.1017/S0022226700002668.
  • Seuren, P. A. M. (1970). [Review of the book Betekenis en betekenisstructuur. Nagelaten geschriften van Prof. Dr. A. W. de Groot ed by G. F. Bos and H. Roose]. Foundations of Language, 6(2), 282-283.
  • Seuren, P. A. M. (2013). From Whorf to Montague: Explorations in the theory of language. Oxford: Oxford University Press.
  • Seuren, P. A. M. (1967). Negation in Dutch. Neophilologus, 51(4), 327-363.
  • Seuren, P. A. M. (2016). Excursies in de tijd: Episodes uit de geschiedenis van onze beschaving. Beilen: Pharos uitgevers.
  • Seuren, P. A. M. (2016). Saussure and his intellectual environment. History of European Ideas, 42(6), 819-847. doi:10.1080/01916599.2016.1154398.

    Abstract

    The present study paints the intellectual environment in which Ferdinand de Saussure developed his ideas about language and linguistics during the fin de siècle. It sketches his dissatisfaction with that environment to the extent that it touched on linguistics, and shows the new course he was trying to steer on the basis of ideas that seemed to open new and exciting perspectives, even though they were still vaguely defined. As Saussure himself was extremely reticent about his sources and intellectual pedigree, his stance in the lively European cultural context in which he lived can only be established through textual critique and conjecture. On this basis, it is concluded that Saussure, though relatively uninformed about its historical roots, essentially aimed at integrating the rationalist tradition current in the sciences in his day into a new, ‘scientific’ general theory of language. In this, he was heavily indebted to a few predecessors, such as the French philosopher-psychologist Victor Egger, and particularly to the French psychologist, historian and philosopher Hippolyte Taine, who was a major cultural influence in nineteenth-century France, though now largely forgotten. The present study thus supports Hans Aarsleff's analysis, where, for the first time, Taine's influence is emphasised, and rejects John Joseph's contention that Taine had no influence and that, instead, Saussure was influenced mainly by the romanticist Adolphe Pictet. Saussure abhorred Pictet's method of etymologising, which predated the Young Grammarian school, central to Saussure's linguistic education. The issue has implications for the positioning of Saussure in the history of linguistics. Is he part of the non-analytical, romanticist and experience-based European strand of thought that is found in art and postmodernist philosophy and is sometimes called structuralism, or is he a representative of the short-lived European branch of specifically linguistic structuralism, which was rationalist in outlook, more science-oriented and more formalist, but lost out to American structuralism? The latter seems to be the case, though phenomenology, postmodernism and art have lately claimed Saussure as an icon
  • Seuren, P. A. M. (1999). Vertakkingsrichting als parameter in de grammatica. Verslagen en Mededelingen van de Koninklijke Academie voor Nederlandse Taal- en Letterkunde, 109(2-3), 149-166.
  • Shao, Z., Meyer, A. S., & Roelofs, A. (2013). Selective and nonselective inhibition of competitors in picture naming. Memory & Cognition, 41(8), 1200-1211. doi:10.3758/s13421-013-0332-7.

    Abstract

    The present study examined the relation between nonselective inhibition and selective inhibition in picture naming performance. Nonselective inhibition refers to the ability to suppress any unwanted response, whereas selective inhibition refers to the ability to suppress specific competing responses. The degree of competition in picture naming was manipulated by presenting targets along with distractor words that could be semantically related (e.g., a picture of a dog combined with the word cat) or unrelated (tree) to the picture name. The mean naming response time (RT) was longer in the related than in the unrelated condition, reflecting semantic interference. Delta plot analyses showed that participants with small mean semantic interference effects employed selective inhibition more effectively than did participants with larger semantic interference effects. The participants were also tested on the stop-signal task, which taps nonselective inhibition. Their performance on this task was correlated with their mean naming RT but, importantly, not with the selective inhibition indexed by the delta plot analyses and the magnitude of the semantic interference effect. These results indicate that nonselective inhibition ability and selective inhibition of competitors in picture naming are separable to some extent.
  • Shao, Z., & Stiegert, J. (2016). Predictors of photo naming: Dutch norms for 327 photos. Behavior Research Methods, 48(2), 577-584. doi:10.3758/s13428-015-0613-0.

    Abstract

    The present study reports naming latencies and norms for 327 photos of objects in Dutch. We provide norms for eight psycholinguistic variables: age of acquisition, familiarity, imageability, image agreement, objective and subjective visual complexity, word frequency, word length in syllables and in letters, and name agreement. Furthermore, multiple regression analyses reveal that significant predictors of photo naming latencies are name agreement, word frequency, imageability, and image agreement. Naming latencies, norms and stimuli are provided as Supplemental Materials.
  • Shitova, N., Roelofs, A., Schriefers, H., Bastiaansen, M., & Schoffelen, J.-M. (2016). Using Brain Potentials to Functionally Localise Stroop-Like Effects in Colour and Picture Naming: Perceptual Encoding versus Word Planning. PLoS One, 11(9): e0161052. doi:10.1371/journal.pone.0161052.

    Abstract

    The colour-word Stroop task and the picture-word interference task (PWI) have been used extensively to study the functional processes underlying spoken word production. One of the consistent behavioural effects in both tasks is the Stroop-like effect: The reaction time (RT) is longer on incongruent trials than on congruent trials. The effect in the Stroop task is usually linked to word planning, whereas the effect in the PWI task is associated with either word planning or perceptual encoding. To adjudicate between the word planning and perceptual encoding accounts of the effect in PWI, we conducted an EEG experiment consisting of three tasks: a standard colour-word Stroop task (three colours), a standard PWI task (39 pictures), and a Stroop-like version of the PWI task (three pictures). Participants overtly named the colours and pictures while their EEG was recorded. A Stroop-like effect in RTs was observed in all three tasks. ERPs at centro-parietal sensors started to deflect negatively for incongruent relative to congruent stimuli around 350 ms after stimulus onset for the Stroop, Stroop-like PWI, and the Standard PWI tasks: an N400 effect. No early differences were found in the PWI tasks. The onset of the Stroop-like effect at about 350 ms in all three tasks links the effect to word planning rather than perceptual encoding, which has been estimated in the literature to be finished around 200–250 ms after stimulus onset. We conclude that the Stroop-like effect arises during word planning in both Stroop and PWI.
  • Sikora, K., Roelofs, A., & Hermans, D. (2016). Electrophysiology of executive control in spoken noun-phrase production: Dynamics of updating, inhibiting, and shifting. Neuropsychologia, 84, 44-53. doi:10.1016/j.neuropsychologia.2016.01.037.

    Abstract

    Previous studies have provided evidence that updating, inhibiting, and shifting abilities underlying executive control determine response time (RT) in language production. However, little is known about their electrophysiological basis and dynamics. In the present electroencephalography study, we assessed noun-phrase production using picture description and a picture-word interference paradigm. We measured picture description RTs to assess length, distractor, and switch effects, which have been related to the updating, inhibiting, and shifting abilities. In addition, we measured event-related brain potentials (ERPs). Previous research has suggested that inhibiting and shifting are associated with anterior and posterior N200 subcomponents, respectively, and updating with the P300. We obtained length, distractor, and switch effects in the RTs, and an interaction between length and switch. There was a widely distributed switch effect in the N200, an interaction of length and midline site in the N200, and a length effect in the P300, whereas distractor did not yield any ERP modulation. Moreover, length and switch interacted in the posterior N200. We argue that these results provide electrophysiological evidence that inhibiting and shifting of task set occur before updating in phrase planning.
  • Sikora, K., Roelofs, A., Hermans, D., & Knoors, H. (2016). Executive control in spoken noun-phrase production: Contributions of updating, inhibiting, and shifting. Quarterly Journal of Experimental Psychology, 69(9), 1719-1740. doi:10.1080/17470218.2015.1093007.

    Abstract

    The present study examined how the updating, inhibiting, and shifting abilities underlying executive control influence spoken noun-phrase production. Previous studies provided evidence that updating and inhibiting, but not shifting, influence picture-naming response time (RT). However, little is known about the role of executive control in more complex forms of language production like generating phrases. We assessed noun-phrase production using picture description and a picture–word interference procedure. We measured picture description RT to assess length, distractor, and switch effects, which were assumed to reflect, respectively, the updating, inhibiting, and shifting abilities of adult participants. Moreover, for each participant we obtained scores on executive control tasks that measured verbal and nonverbal updating, nonverbal inhibiting, and nonverbal shifting. We found that both verbal and nonverbal updating scores correlated with the overall mean picture description RTs. Furthermore, the length effect in the RTs correlated with verbal but not nonverbal updating scores, while the distractor effect correlated with inhibiting scores. We did not find a correlation between the switch effect in the mean RTs and the shifting scores. However, the shifting scores correlated with the switch effect in the normal part of the underlying RT distribution. These results suggest that updating, inhibiting, and shifting each influence the speed of phrase production, thereby demonstrating a contribution of all three executive control abilities to language production.
  • Silva, S., Reis, A., Casaca, L., Petersson, K. M., & Faísca, L. (2016). When the eyes no longer lead: Familiarity and length effects eye-voice span. Frontiers in Psychology, 7: 1720. doi:10.3389/fpsyg.2016.01720.

    Abstract

    During oral reading, the eyes tend to be ahead of the voice (eye-voice span, EVS). It has been hypothesized that the extent to which this happens depends on the automaticity of reading processes, namely on the speed of print-to-sound conversion. We tested whether EVS is affected by another automaticity component – immunity from interference. To that end, we manipulated word familiarity (high-frequency, lowfrequency, and pseudowords, PW) and word length as proxies of immunity from interference, and we used linear mixed effects models to measure the effects of both variables on the time interval at which readers do parallel processing by gazing at word N C 1 while not having articulated word N yet (offset EVS). Parallel processing was enhanced by automaticity, as shown by familiarity length interactions on offset EVS, and it was impeded by lack of automaticity, as shown by the transformation of offset EVS into voice-eye span (voice ahead of the offset of the eyes) in PWs. The relation between parallel processing and automaticity was strengthened by the fact that offset EVS predicted reading velocity. Our findings contribute to understand how the offset EVS, an index that is obtained in oral reading, may tap into different components of automaticity that underlie reading ability, oral or silent. In addition, we compared the duration of the offset EVS with the average reference duration of stages in word production, and we saw that the offset EVS may accommodate for more than the articulatory programming stage of word N.
  • Silva, S., Faísca, L., Araújo, S., Casaca, L., Carvalho, L., Petersson, K. M., & Reis, A. (2016). Too little or too much? Parafoveal preview benefits and parafoveal load costs in dyslexic adults. Annals of Dyslexia, 66(2), 187-201. doi:10.1007/s11881-015-0113-z.

    Abstract

    Two different forms of parafoveal dysfunction have been hypothesized as core deficits of dyslexic individuals: reduced parafoveal preview benefits (“too little parafovea”) and increased costs of parafoveal load (“too much parafovea”). We tested both hypotheses in a single eye-tracking experiment using a modified serial rapid automatized naming (RAN) task. Comparisons between dyslexic and non-dyslexic adults showed reduced parafoveal preview benefits in dyslexics, without increased costs of parafoveal load. Reduced parafoveal preview benefits were observed in a naming task, but not in a silent letter-finding task, indicating that the parafoveal dysfunction may be consequent to the overload with extracting phonological information from orthographic input. Our results suggest that dyslexics’ parafoveal dysfunction is not based on strict visuo-attentional factors, but nevertheless they stress the importance of extra-phonological processing. Furthermore, evidence of reduced parafoveal preview benefits in dyslexia may help understand why serial RAN is an important reading predictor in adulthood
  • Sjerps, M. J., & Smiljanic, R. (2013). Compensation for vocal tract characteristics across native and non-native languages. Journal of Phonetics, 41, 145-155. doi:10.1016/j.wocn.2013.01.005.

    Abstract

    Perceptual compensation for speaker vocal tract properties was investigated in four groups of listeners: native speakers of English and native speakers of Dutch, native speakers of Spanish with low proficiency in English, and Spanish-English bilinguals. Listeners categorized targets on a [sofo] to [sufu] continuum. Targets were preceded by sentences that were manipulated to have either a high or a low F1 contour. All listeners performed the categorization task for targets that were preceded by Spanish, English and Dutch precursors. Results show that listeners from each of the four language backgrounds compensate for speaker vocal tract properties regardless of language-specific vowel inventory properties. Listeners also compensate when they listen to stimuli in another language. The results suggest that patterns of compensation are mainly determined by auditory properties of precursor sentences.
  • Sjerps, M. J. (2013). [Contribution to NextGen VOICES survey: Science communication's future]. Science, 340 (no. 6128, online supplement). Retrieved from http://www.sciencemag.org/content/340/6128/28/suppl/DC1.

    Abstract

    One of the important challenges for the development of science communication concerns the current problems with the under-exposure of null results. I suggest that each article published in a top scientific journal can get tagged (online) with attempts to replicate. As such, a future reader of an article will also be able to see whether replications have been attempted and how these turned out. Editors and/or reviewers decide whether a replication is of sound quality. The authors of the main article have the option to review the replication and can provide a supplementary comment with each attempt that is added. After 5 or 10 years, and provided enough attempts to replicate, the authors of the main article get the opportunity to discuss/review their original study in light of the outcomes of the replications. This approach has two important strengths: 1) The approach would provide researchers with the opportunity to show that they deliver scientifically thorough work, but sometimes just fail to replicate the result that others have reported. This can be especially valuable for the career opportunities of promising young researchers; 2) perhaps even more important, the visibility of replications provides an important incentive for researchers to publish findings only if they are sure that their effects are reliable (and thereby reduce the influence of "experimenter degrees of freedom" or even outright fraud). The proposed approach will stimulate researchers to look beyond the point of publication of their studies.
  • Sjerps, M. J., McQueen, J. M., & Mitterer, H. (2013). Evidence for precategorical extrinsic vowel normalization. Attention, Perception & Psychophysics, 75, 576-587. doi:10.3758/s13414-012-0408-7.

    Abstract

    Three experiments investigated whether extrinsic vowel normalization takes place largely at a categorical or a precategorical level of processing. Traditional vowel normalization effects in categorization were replicated in Experiment 1: Vowels taken from an [ɪ]-[ε] continuum were more often interpreted as /ɪ/ (which has a low first formant, F (1)) when the vowels were heard in contexts that had a raised F (1) than when the contexts had a lowered F (1). This was established with contexts that consisted of only two syllables. These short contexts were necessary for Experiment 2, a discrimination task that encouraged listeners to focus on the perceptual properties of vowels at a precategorical level. Vowel normalization was again found: Ambiguous vowels were more easily discriminated from an endpoint [ε] than from an endpoint [ɪ] in a high-F (1) context, whereas the opposite was true in a low-F (1) context. Experiment 3 measured discriminability between pairs of steps along the [ɪ]-[ε] continuum. Contextual influences were again found, but without discrimination peaks, contrary to what was predicted from the same participants' categorization behavior. Extrinsic vowel normalization therefore appears to be a process that takes place at least in part at a precategorical processing level.
  • Smeets, C. J. L. M., & Verbeek, D. (2016). Climbing fibers in spinocerebellar ataxia: A mechanism for the loss of motor control. Neurobiology of Disease, 88, 96-106. doi:10.1016/j.nbd.2016.01.009.

    Abstract

    The spinocerebellar ataxias (SCAs) form an ever-growing group of neurodegenerative disorders causing dysfunction of the cerebellum and loss of motor control in patients. Currently, 41 different genetic causes have been identified, with each mutation affecting a different gene. Interestingly, these diverse genetic causes all disrupt cerebellar function and produce similar symptoms in patients. In order to understand the disease better, and define possible therapeutic targets for multiple SCAs, the field has been searching for common ground among the SCAs. In this review, we discuss the physiology of climbing fibers and the possibility that climbing fiber dysfunction is a point of convergence for at least a subset of SCAs.
  • Smeets, C. J. L. M., Zmorzynska, J., Melo, M. N., Stargardt, A., Dooley, C., Bakalkin, G., McLaughlin, J., Sinke, R. J., Marrink, S.-J., Reits, E., & Verbeek, D. S. (2016). Altered secondary structure of Dynorphin A associates with loss of opioid signalling and NMDA-mediated excitotoxicity in SCA23. Human Molecular Genetics, 25(13), 2728-2737. doi:10.1093/hmg/ddw130.

    Abstract

    Spinocerebellar ataxia type 23 (SCA23) is caused by missense mutations in prodynorphin, encoding the precursor protein for the opioid neuropeptides a -neoendorphin, Dynorphin (Dyn) A and Dyn B, leading to neurotoxic elevated mutant Dyn A levels. Dyn A acts on opioid receptors to reduce pain in the spinal cord, but its cerebellar function remains largely unknown. Increased concentration of or prolonged exposure to Dyn A is neurotoxic and these deleterious effects are very likely caused by an N - methyl- D -aspartate-mediated non-opioid mechanism as Dyn A peptides were shown to bind NMDA receptors and potentiate their glutamate-evoked currents. In the present study, we investigated the cellular mechanisms underlying SCA23-mutant Dyn A neurotoxicity. We show that SCA23 mutations in the Dyn A-coding region disrupted peptide secondary structure leading to a loss of the N-terminal a -helix associated with decreased j -opioid receptor affinity. Additionally, the altered secondary structure led to increased peptide stability of R6W and R9C Dyn A, as these peptides showed marked degradation resistance, which coin- cided with decreased peptide solubility. Notably, L5S Dyn A displayed increased degradation and no aggregation. R6W and wt Dyn A peptides were most toxic to primary cerebellar neurons. For R6W Dyn A, this is likely because of a switch from opioid to NMDA- receptor signalling, while for wt Dyn A, this switch was not observed. We propose that the pathology of SCA23 results from converging mechanisms of loss of opioid-mediated neuroprotection and NMDA-mediated excitotoxicity.

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